Company Announcements

Transaction in Own Shares

Source: RNS
RNS Number : 3887D
RELX PLC
18 February 2020
 

18 February 2020

ISSUED ON BEHALF OF RELX PLC

 

Transactions in own shares

 

RELX PLC announces that today it purchased through UBS AG London Branch 51,000 RELX PLC ordinary shares of 14 51/116 pence each on the London Stock Exchange at a price of 2079.5334 pence per share. The purchased shares will be held as treasury shares. Following the above purchase, RELX PLC holds 47,467,980 ordinary shares in treasury, and has 1,933,615,867 ordinary shares in issue (excluding treasury shares). Since 2 January 2020 RELX PLC has purchased 5,200,953 shares.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), detailed information about the individual purchases made by UBS AG London Branch is set out below.

 

RELX PLC

 

Transaction details: RELX PLC ordinary shares of 14 51/116 pence each

 

Issuer name:

RELX PLC

ISIN:

GB00B2B0DG97

Intermediary name:

UBS AG London Branch

Intermediary Code:

UBSWGB2L

Timezone:

UTC

Currency:

GBP

 

Aggregated information

 

Date of purchase:              

18 February 2020

Number of ordinary shares purchased:

51,000

Volume weighted average price paid per share (p):

2079.5334

 

Disaggregated information

 

 

Transaction Date

Transaction Time

Volume

Price (p)

Platform Code

MatchId

18-Feb-2020

16:18:20

863

2081.00

XLON

1431659

18-Feb-2020

16:13:13

1,583

2081.00

XLON

1420814

18-Feb-2020

16:01:09

1,788

2081.00

XLON

1399251

18-Feb-2020

15:53:32

182

2084.00

XLON

1387084

18-Feb-2020

15:53:32

1,213

2084.00

XLON

1387082

18-Feb-2020

15:53:32

286

2084.00

XLON

1387080

18-Feb-2020

15:49:09

1,660

2083.00

XLON

1380162

18-Feb-2020

15:49:09

1,575

2083.00

XLON

1380160

18-Feb-2020

15:29:48

1,552

2080.00

XLON

1350563

18-Feb-2020

15:26:33

1,638

2081.00

XLON

1345580

18-Feb-2020

15:15:12

1,577

2081.00

XLON

1326724

18-Feb-2020

15:04:01

61

2080.00

XLON

1306461

18-Feb-2020

15:04:01

1,563

2080.00

XLON

1306463

18-Feb-2020

14:59:50

1,080

2080.00

XLON

1298273

18-Feb-2020

14:59:50

437

2080.00

XLON

1298271

18-Feb-2020

14:59:50

293

2080.00

XLON

1298267

18-Feb-2020

14:46:14

1,123

2080.00

XLON

1278512

18-Feb-2020

14:46:14

512

2080.00

XLON

1278510

18-Feb-2020

14:32:41

1,443

2078.00

XLON

1255533

18-Feb-2020

14:32:41

142

2078.00

XLON

1255531

18-Feb-2020

14:23:58

1,657

2080.00

XLON

1238516

18-Feb-2020

14:09:08

1,648

2080.00

XLON

1228644

18-Feb-2020

13:49:25

986

2078.00

XLON

1214310

18-Feb-2020

13:49:25

607

2078.00

XLON

1214308

18-Feb-2020

13:30:29

694

2079.00

XLON

1201744

18-Feb-2020

13:30:29

994

2079.00

XLON

1201742

18-Feb-2020

13:20:14

1,761

2079.00

XLON

1195127

18-Feb-2020

12:37:41

152

2075.00

XLON

1172850

18-Feb-2020

12:37:41

1,432

2075.00

XLON

1172848

18-Feb-2020

12:15:16

1,615

2076.00

XLON

1160749

18-Feb-2020

11:52:07

1,361

2075.00

XLON

1148712

18-Feb-2020

11:52:07

90

2075.00

XLON

1148710

18-Feb-2020

11:25:40

1,543

2077.00

XLON

1137256

18-Feb-2020

11:01:02

1,740

2080.00

XLON

1124807

18-Feb-2020

10:34:23

1,691

2080.00

XLON

1109806

18-Feb-2020

10:17:20

1,718

2085.00

XLON

1099788

18-Feb-2020

09:50:23

1,498

2082.00

XLON

1077593

18-Feb-2020

09:29:07

1,503

2078.00

XLON

1046604

18-Feb-2020

09:11:03

348

2079.00

XLON

1024805

18-Feb-2020

09:11:03

1,178

2079.00

XLON

1024803

18-Feb-2020

08:55:40

1,485

2084.00

XLON

1005193

18-Feb-2020

08:41:46

1,617

2076.00

XLON

981582

18-Feb-2020

08:30:48

1,211

2068.00

XLON

967536

18-Feb-2020

08:30:18

55

2068.00

XLON

966670

18-Feb-2020

08:30:18

70

2068.00

XLON

966668

18-Feb-2020

08:30:18

75

2068.00

XLON

966666

18-Feb-2020

08:30:18

100

2068.00

XLON

966664

18-Feb-2020

08:16:09

1,600

2080.00

XLON

946251

 

 

 

 

 

 

 

 

 

 


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
 
 
POSSFLFMAESSELE