CRH PLC Transaction in Own Shares (6601Z)
14 Gennaio 2020 - 08:00AM
UK Regulatory
TIDMCRH
RNS Number : 6601Z
CRH PLC
14 January 2020
14(th) January 2020
CRH plc Transaction in Own Shares
CRH plc ("CRH") announces that on 13(th) January 2020 it
purchased the following number of its ordinary shares (the
"ordinary shares") on Euronext Dublin, from CRH's broker J&E
Davy. The ordinary shares purchased will be held as treasury
shares.
Euronext Dublin
Number of ordinary shares purchased: 66,837
---------------------------------------- ----------------
Highest price paid per share: EUR35.460
---------------------------------------- ----------------
Lowest price paid per share: EUR35.130
---------------------------------------- ----------------
Volume weighted average price paid: EUR35.243
---------------------------------------- ----------------
The purchases form part of CRH's intention to buy back ordinary
shares of up to EUR200 million in the period to 31(st) March 2020
following its announcement on 7(th) January 2020 and were effected
by CRH's broker as part of the Programme announced on 7(th) January
2020.
Following settlement of the above transactions CRH will hold
10,584,690 of its ordinary shares in treasury and will have
789,055,648 ordinary shares in issue (excluding treasury
shares).
In accordance with Article 5(1)(b) of Regulation (EU) No
596/2014 (the Market Abuse Regulation), a detailed breakdown of
individual trades made by J&E Davy on behalf of CRH as part of
the buyback programme is scheduled to this announcement.
Contact:
Diarmuid Enright
Assistant Company Secretary
Tel: 00 3531 6344340
Issuer name: CRH plc
----------
LEI 549300MIDJNNTH068E74
-------------------- ----------------------------
ISIN: IE0001827041
-------------------- ----------------------------
Intermediary name: J&E Davy
--------------------- ----------------------------
Intermediary code: DAVYIE21
--------------------- ---------- ----------------
Time zone: BST
-------------------- ---------- ----------------
Currency: GBp & EUR (as indicated
below)
-------------------- ----------------------------
Aggregated Information
Trading venue Currency Volume Weighted Aggregated volume
Average Price
----------------
Euronext Dublin EUR EUR35.243 66,837
--------------------- ---------- ---------------- ------------------
Euronext Stock Exchange
Number Price Currency Trade Time Trading MatchID
of Shares Per Share Venue
(EUR)
7000 35.18 EUR 09:14:35 ISE 00031011129TRLO1-1
----------- --------- ----------- -------- -------------------
2000 35.37 EUR 10:14:56 ISE 00031011897TRLO1-1
----------- --------- ----------- -------- -------------------
2000 35.46 EUR 11:22:30 ISE 00031012582TRLO1-1
----------- --------- ----------- -------- -------------------
10000 35.28 EUR 11:50:56 ISE 00031012940TRLO1-1
----------- --------- ----------- -------- -------------------
4000 35.25 EUR 11:53:26 ISE 00031012973TRLO1-1
----------- --------- ----------- -------- -------------------
427 35.24 EUR 11:53:35 ISE 00031012974TRLO1-1
----------- --------- ----------- -------- -------------------
10000 35.26 EUR 13:33:03 ISE 00031014002TRLO1-1
----------- --------- ----------- -------- -------------------
10 35.2 EUR 13:44:05 ISE 00031014097TRLO1-1
----------- --------- ----------- -------- -------------------
300 35.2 EUR 13:44:27 ISE 00031014099TRLO1-1
----------- --------- ----------- -------- -------------------
5000 35.2 EUR 13:55:24 ISE 00031014213TRLO1-1
----------- --------- ----------- -------- -------------------
15000 35.21 EUR 14:08:44 ISE 00031014371TRLO1-1
----------- --------- ----------- -------- -------------------
4000 35.13 EUR 14:48:56 ISE 00031015195TRLO1-1
----------- --------- ----------- -------- -------------------
4000 35.29 EUR 15:49:31 ISE 00031016544TRLO1-1
----------- --------- ----------- -------- -------------------
3100 35.3 EUR 16:02:57 ISE 00031016855TRLO1-1
----------- --------- ----------- -------- -------------------
This information is provided by RNS, the news service of the
London Stock Exchange. RNS is approved by the Financial Conduct
Authority to act as a Primary Information Provider in the United
Kingdom. Terms and conditions relating to the use and distribution
of this information may apply. For further information, please
contact rns@lseg.com or visit www.rns.com.
END
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