TIDMREL

RNS Number : 9129K

RELX PLC

12 July 2017

12 July 2017

ISSUED ON BEHALF OF RELX PLC AND RELX NV

Transactions in own shares

RELX PLC announces that today it purchased through UBS Limited -- RELX PLC ordinary shares of 14 (51) /(116) pence each on the London Stock Exchange at a price of -- pence per share. The purchased shares will be held as treasury shares. Following the above purchase, RELX PLC holds -- ordinary shares in treasury, and has -- ordinary shares in issue (excluding treasury shares). Since 3 January 2017 RELX PLC has purchased -- shares.

RELX NV announces that today it purchased through UBS Limited -- RELX NV ordinary shares of EUR0.07 each on the Euronext Amsterdam Stock Exchange at a price of EUR-- per share. The purchased shares will be held as treasury shares. Following the above purchase, RELX NV holds -- ordinary shares in treasury, and has -- ordinary shares in issue (excluding treasury shares). Since 3 January 2017 RELX NV has purchased -- 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 Limited 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 Limited 
Intermediary Code:  UBSWGB24 
Timezone:           UTC 
Currency:           GBP 
 

Aggregated information

 
Date of purchase:                                  12 July 2017 
Number of ordinary shares purchased:               -- 
Volume weighted average price paid per share (p):  -- 
 

Disaggregated information

RELX NV

Transaction details: RELX NV ordinary shares of EUR0.07 each

 
Issuer name:        RELX NV 
ISIN:               NL0006144495 
Intermediary name:  UBS Limited 
Intermediary Code:  UBSWGB24 
Timezone:           UTC 
Currency:           EUR 
 

Aggregated information

 
Date of purchase:                                    12 July 2017 
Number of ordinary shares purchased:                 -- 
Volume weighted average price paid per share (EUR):  -- 
 

Disaggregated Information

This information is provided by RNS

The company news service from the London Stock Exchange

END

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July 12, 2017 12:07 ET (16:07 GMT)

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