-

Early Repurchase(s)

LONDON--(BUSINESS WIRE)-- 

Transaction Type ISSUER ISIN CCY Nominal Markdown Amount Remaining Balance Value date
Repurchase

VANGUARD FUNDS PLC(SA7263)

IE0008T6IUX0

SHS

2,696,073.00

14,234.00

2,681,839.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000L2ZNB07

SHS

4,133,505.00

76,841.00

4,056,664.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000L2ZNB07

SHS

4,056,664.00

5,193.00

4,051,471.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000L2ZNB07

SHS

4,051,471.00

12,966.00

4,038,505.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000L2ZNB07

SHS

4,038,505.00

30,692.00

4,007,813.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000NRGX9M3

SHS

4,358,058.00

32.00

4,358,026.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000NRGX9M3

SHS

4,358,026.00

86,844.00

4,271,182.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3VVMM84

SHS

40,018,912.00

35,740.00

39,983,172.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

398,057,769.00

49,258.00

398,008,511.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

398,008,511.00

2,433.00

398,006,078.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

398,006,078.00

471,987.00

397,534,091.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,534,091.00

2,488.00

397,531,603.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,531,603.00

68,753.00

397,462,850.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,462,850.00

369.00

397,462,481.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,462,481.00

172,440.00

397,290,041.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,290,041.00

2,730.00

397,287,311.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,287,311.00

8,864.00

397,278,447.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,278,447.00

40,257.00

397,238,190.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

397,238,190.00

250,000.00

396,988,190.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B42WWV65

SHS

16,963,824.00

23,433.00

16,940,391.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B42WWV65

SHS

16,940,391.00

70,000.00

16,870,391.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B810Q511

SHS

99,134,286.00

9,142.00

99,125,144.00

08/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B810Q511

SHS

99,125,144.00

14,865.00

99,110,279.00

08/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B810Q511

SHS

99,110,279.00

26.00

99,110,253.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B810Q511

SHS

99,110,253.00

2,245.00

99,108,008.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,987,648.00

198,038.00

81,789,610.00

08/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,789,610.00

1,516.00

81,788,094.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,788,094.00

3,801.00

81,784,293.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,784,293.00

14,655.00

81,769,638.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,769,638.00

16,444.00

81,753,194.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,753,194.00

190.00

81,753,004.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,753,004.00

257.00

81,752,747.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,752,747.00

31,723.00

81,721,024.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B945VV12

SHS

81,721,024.00

837.00

81,720,187.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B95PGT31

SHS

57,970,996.00

2,107.00

57,968,889.00

08/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B95PGT31

SHS

57,968,889.00

15,084.00

57,953,805.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B9F5YL18

SHS

43,976,599.00

52,726.00

43,923,873.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B9F5YL18

SHS

43,923,873.00

4,344.00

43,919,529.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B9F5YL18

SHS

43,919,529.00

37,930.00

43,881,599.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B9F5YL18

SHS

43,881,599.00

31,403.00

43,850,196.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BDD48R20

SHS

7,848,439.00

9,153.00

7,839,286.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BDD48R20

SHS

7,839,286.00

600,000.00

7,239,286.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXXD54

SHS

195,083,515.00

42,952.00

195,040,563.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXXD54

SHS

195,040,563.00

27.00

195,040,536.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXXD54

SHS

195,040,536.00

2,165.00

195,038,371.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXXD54

SHS

195,038,371.00

94,879.00

194,943,492.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXXD54

SHS

194,943,492.00

61,062.00

194,882,430.00

09/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163G84

SHS

41,906,220.00

26,417.00

41,879,803.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163G84

SHS

41,879,803.00

225.00

41,879,578.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163G84

SHS

41,879,578.00

37,854.00

41,841,724.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163G84

SHS

41,841,724.00

35,504.00

41,806,220.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163G84

SHS

41,806,220.00

2,555.00

41,803,665.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,919,310.00

55.00

59,919,255.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,919,255.00

3,442.00

59,915,813.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,915,813.00

26,815.00

59,888,998.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,888,998.00

119,532.00

59,769,466.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,769,466.00

223.00

59,769,243.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,769,243.00

569.00

59,768,674.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163H91

SHS

59,768,674.00

67,646.00

59,701,028.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

12,222,503.00

55,011.00

12,167,492.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

12,167,492.00

24,372.00

12,143,120.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

12,143,120.00

12,502.00

12,130,618.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

12,130,618.00

22,133.00

12,108,485.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

12,108,485.00

85,188.00

12,023,297.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,810,899.00

23,935.00

28,786,964.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,786,964.00

590.00

28,786,374.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,786,374.00

486.00

28,785,888.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,785,888.00

774.00

28,785,114.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,785,114.00

146,110.00

28,639,004.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,639,004.00

259.00

28,638,745.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,638,745.00

1,127.00

28,637,618.00

10/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163M45

SHS

28,637,618.00

1,730.00

28,635,888.00

10/04/2025

Repurchase

INVESCO MARKETS II PLC

IE000716YHJ7

SHS

188,717,745.00

34,997.00

188,682,748.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE000716YHJ7

SHS

188,682,748.00

107,235.00

188,575,513.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FN646

SHS

14,639,793.00

4,000.00

14,635,793.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FN752

SHS

972,224.00

40,000.00

932,224.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FNG46

SHS

2,927,250.00

40,000.00

2,887,250.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FNJ76

SHS

1,452,282.00

180,000.00

1,272,282.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FNJ76

SHS

1,272,282.00

17,000.00

1,255,282.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2FNL98

SHS

186,208.00

5,000.00

181,208.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2GFH28

SHS

14,505,388.00

1,780,000.00

12,725,388.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2GFK56

SHS

11,492,669.00

400,000.00

11,092,669.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2GFK56

SHS

11,092,669.00

1,100,000.00

9,992,669.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BF2GFK56

SHS

9,992,669.00

18,000.00

9,974,669.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BFZPF322

SHS

21,546,955.00

58,000.00

21,488,955.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BFZPF322

SHS

21,488,955.00

100,000.00

21,388,955.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BG0NY640

SHS

478,800.00

25,000.00

453,800.00

23/04/2025

Repurchase

INVESCO MARKETS II PLC

IE00BG0TQB18

SHS

4,363,760.00

87,761.00

4,275,999.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE000RO1O3N4

SHS

2,072,897.00

30,748.00

2,042,149.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3RBWM25

SHS

126,266,043.00

13,875.00

126,252,168.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

399,382,616.00

60,000.00

399,322,616.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

399,322,616.00

201,285.00

399,121,331.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

399,121,331.00

63,647.00

399,057,684.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

399,057,684.00

900,000.00

398,157,684.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B3XXRP09

SHS

398,157,684.00

30,192.00

398,127,492.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B8GKDB10

SHS

82,023,829.00

6,266.00

82,017,563.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00B9F5YL18

SHS

44,275,962.00

49,578.00

44,226,384.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BFMXVQ44

SHS

16,276,101.00

2,847.00

16,273,254.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BGYWFK87

SHS

45,063,393.00

4,000.00

45,059,393.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BKX55T58

SHS

32,596,812.00

7,777.00

32,589,035.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BLRPPV00

SHS

32,045,666.00

25,000.00

32,020,666.00

23/04/2025

Repurchase

VANGUARD FUNDS PLC(SA7263)

IE00BZ163K21

SHS

11,596,822.00

10,000.00

11,586,822.00

23/04/2025

Repurchase

GLOBAL X ETFS

IE00BLCHJ534

SHS

12,950,000.00

120,000.00

12,830,000.00

23/04/2025

Repurchase

GLOBAL X ETFS

IE00077FRP95

SHS

14,570,000.00

20,000.00

14,550,000.00

22/04/2025

Repurchase

GLOBAL X ETFS

IE0003Z9E2Y3

SHS

5,470,000.00

50,000.00

5,420,000.00

17/04/2025

 

Category Code: MSCM
Sequence Number: 1353639
Time of Receipt (offset from UTC): 20250423T161316+0100

Contacts

Bank of New York Mellon

Bank of New York Mellon


Release Versions

Contacts

Bank of New York Mellon

More News From Bank of New York Mellon

Bank of New York Mellon UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  Transaction Type ISSUER ISIN CCY Nominal Markdown Amount Remaining Balance Value date Repurchase VANGUARD FUNDS PLC(SA7263) IE000NRGX9M3 SHS 4,264,904.00 10,245.00 4,254,659.00 28/04/2025 Repurchase VANGUARD FUNDS PLC(SA7263) IE00B3RBWM25 SHS 126,329,375.00 48,175.00 126,281,200.00 28/04/2025 Repurchase VANGUARD FUNDS PLC(SA7263) IE00B3XXRP09 SHS 399,898,797.00 840,000.00 399,058,797.00 28/04/2025 Repurchase VANGUARD FUNDS PLC(SA7263) IE00B3XXRP09 SHS 399,058,797.00 3...

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LONDON--(BUSINESS WIRE)--  Transaction Type ISSUER ISIN CCY Nominal Markdown Amount Remaining Balance Value date Repurchase VANGUARD IE00B42WWV65 SHS 16,737,714.00 55,000.00 16,682,714.00 23/04/2025 Repurchase VANGUARD IE00BK5BQW10 SHS 11,883,943.00 5,972.00 11,877,971.00 23/04/2025 Repurchase VANGUARD IE00BKX55S42 SHS 58,741,422.00 135,000.00 58,606,422.00 23/04/2025 Repurchase VANGUARD IE00BNDS1Q47 SHS 88,123,560.00 51,843.00 88,071,717.00 23/04/2025 Repurchase VANGUARD IE00BNDS1R53 SHS 34,93...

Bank of New York Mellon UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  Transaction Type ISSUER ISIN CCY Nominal Markdown Amount Remaining Balance Value date REPURCHASE VANGUARD FUNDS plc(SA7263) IE00BG47KB92 SHS 4,762,316.00 50,000.00 4,712,316.00 15/04/2025 REPURCHASE VANGUARD FUNDS plc(SA7263) IE00BG47KH54 SHS 57,106,867.00 4,647.00 57,102,220.00 15/04/2025 REPURCHASE VANGUARD FUNDS plc(SA7263) IE00BG47K971 SHS 57,102,220.00 4,819.00 57,097,401.00 15/04/2025 REPURCHASE VANGUARD FUNDS plc(SA7263) IE00BG47K971 SHS 57,097,401.00 28,500.00...
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