11 August 2022

ISSUED ON BEHALF OF RELX PLC

Transactions in own shares

RELX PLC announces that today it purchased through UBS AG London Branch 70,029 RELX PLC ordinary shares of 14 51/116 pence each on the London Stock Exchange at a price of 2386.5594 pence per share. The purchased shares will be held as treasury shares. Following the above purchase, RELX PLC holds 46,072,273 ordinary shares in treasury, and has 1,920,367,991 ordinary shares in issue (excluding treasury shares). Since 4 January 2022 RELX PLC has purchased 15,984,594 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:

11 August 2022

Number of ordinary shares purchased:

70,029

Volume weighted average price paid per share (p):

2386.5594

Disaggregated information

Transaction Date

Transaction Time

Volume

Price (p)

Platform Code

MatchId

11-Aug-2022

15:20:16

723

2378.00

XLON

1907897

11-Aug-2022

15:19:14

500

2378.00

XLON

1905638

11-Aug-2022

15:19:14

280

2378.00

XLON

1905636

11-Aug-2022

15:17:36

151

2376.00

XLON

1902043

11-Aug-2022

15:17:36

755

2376.00

XLON

1902041

11-Aug-2022

15:11:03

1,095

2372.00

XLON

1890585

11-Aug-2022

15:03:00

946

2371.00

XLON

1873961

11-Aug-2022

15:02:04

1,040

2371.00

XLON

1872302

11-Aug-2022

14:54:04

69

2372.00

XLON

1856620

11-Aug-2022

14:54:04

377

2372.00

XLON

1856617

11-Aug-2022

14:53:52

386

2372.00

XLON

1856338

11-Aug-2022

14:53:36

241

2372.00

XLON

1856066

11-Aug-2022

14:50:55

943

2374.00

XLON

1851918

11-Aug-2022

14:41:50

1,018

2372.00

XLON

1837010

11-Aug-2022

14:35:56

152

2375.00

XLON

1826121

11-Aug-2022

14:35:56

929

2375.00

XLON

1826119

11-Aug-2022

14:34:50

967

2377.00

XLON

1824145

11-Aug-2022

14:33:28

1,125

2378.00

XLON

1821407

11-Aug-2022

14:21:21

1,116

2371.00

XLON

1797331

11-Aug-2022

14:17:51

944

2370.00

XLON

1776386

11-Aug-2022

14:14:48

1,034

2369.00

XLON

1770154

11-Aug-2022

14:07:57

1,076

2365.00

XLON

1756077

11-Aug-2022

14:06:04

986

2365.00

XLON

1751669

11-Aug-2022

14:00:33

1,006

2367.00

XLON

1739865

11-Aug-2022

13:55:36

1,014

2369.00

XLON

1728530

11-Aug-2022

13:49:51

984

2371.00

XLON

1718254

11-Aug-2022

13:49:51

1,092

2371.00

XLON

1718252

11-Aug-2022

13:44:05

938

2370.00

XLON

1707883

11-Aug-2022

13:37:04

985

2370.00

XLON

1693487

11-Aug-2022

13:34:25

775

2371.00

XLON

1685452

11-Aug-2022

13:34:25

275

2371.00

XLON

1685450

11-Aug-2022

13:31:19

1,008

2373.00

XLON

1676933

11-Aug-2022

13:27:54

985

2374.00

XLON

1667147

11-Aug-2022

13:18:14

1,027

2377.00

XLON

1655952

11-Aug-2022

13:14:44

1,053

2378.00

XLON

1652039

11-Aug-2022

13:14:43

1,114

2379.00

XLON

1652002

11-Aug-2022

12:51:02

904

2380.00

XLON

1626384

11-Aug-2022

12:47:31

996

2381.00

XLON

1622596

11-Aug-2022

12:33:52

981

2382.00

XLON

1608143

11-Aug-2022

12:23:28

861

2385.00

XLON

1597551

11-Aug-2022

12:22:44

154

2385.00

XLON

1597012

11-Aug-2022

12:19:59

1,083

2385.00

XLON

1594728

11-Aug-2022

12:19:59

9

2385.00

XLON

1594726

11-Aug-2022

11:50:43

1,100

2387.00

XLON

1574191

11-Aug-2022

11:46:02

980

2389.00

XLON

1571364

11-Aug-2022

11:46:02

326

2389.00

XLON

1571362

11-Aug-2022

11:44:05

180

2389.00

XLON

1569747

11-Aug-2022

11:42:51

456

2389.00

XLON

1568867

11-Aug-2022

11:13:07

942

2390.00

XLON

1540243

11-Aug-2022

11:06:28

974

2388.00

XLON

1535923

11-Aug-2022

10:59:59

934

2391.00

XLON

1530287

11-Aug-2022

10:52:37

988

2392.00

XLON

1524765

11-Aug-2022

10:43:27

93

2393.00

XLON

1518802

11-Aug-2022

10:43:27

61

2393.00

XLON

1518800

11-Aug-2022

10:43:27

904

2393.00

XLON

1518798

11-Aug-2022

10:34:06

1,115

2396.00

XLON

1510730

11-Aug-2022

10:31:45

1,056

2393.00

XLON

1508686

11-Aug-2022

10:25:05

925

2394.00

XLON

1503751

11-Aug-2022

10:18:44

952

2396.00

XLON

1497736

11-Aug-2022

10:07:46

905

2399.00

XLON

1487764

11-Aug-2022

10:00:34

1,022

2402.00

XLON

1482718

11-Aug-2022

09:54:29

999

2403.00

XLON

1475699

11-Aug-2022

09:45:19

898

2401.00

XLON

1463941

11-Aug-2022

09:36:45

990

2396.00

XLON

1450712

11-Aug-2022

09:24:33

333

2395.00

XLON

1435141

11-Aug-2022

09:24:33

94

2395.00

XLON

1435139

11-Aug-2022

09:24:33

536

2395.00

XLON

1435137

11-Aug-2022

09:12:18

1,015

2393.00

XLON

1421681

11-Aug-2022

09:05:16

182

2395.00

XLON

1414486

11-Aug-2022

09:05:16

380

2395.00

XLON

1414484

11-Aug-2022

09:05:16

410

2395.00

XLON

1414482

11-Aug-2022

09:05:16

1,006

2395.00

XLON

1414478

11-Aug-2022

08:57:14

1,009

2392.00

XLON

1403312

11-Aug-2022

08:46:51

556

2396.00

XLON

1390735

11-Aug-2022

08:46:51

373

2396.00

XLON

1390733

11-Aug-2022

08:42:11

386

2397.00

XLON

1384943

11-Aug-2022

08:42:11

523

2397.00

XLON

1384941

11-Aug-2022

08:31:15

787

2396.00

XLON

1372021

11-Aug-2022

08:31:15

300

2396.00

XLON

1372019

11-Aug-2022

08:21:15

906

2400.00

XLON

1360868

11-Aug-2022

08:21:15

194

2400.00

XLON

1360866

11-Aug-2022

08:16:24

913

2401.00

XLON

1355225

11-Aug-2022

08:14:52

821

2402.00

XLON

1353466

11-Aug-2022

08:14:52

136

2402.00

XLON

1353468

11-Aug-2022

08:04:21

1,054

2408.00

XLON

1338248

11-Aug-2022

07:49:33

41

2406.00

XLON

1312741

11-Aug-2022

07:49:33

931

2406.00

XLON

1312739

11-Aug-2022

07:38:05

1,073

2407.00

XLON

1287777

11-Aug-2022

07:35:55

1,041

2409.00

XLON

1283912

11-Aug-2022

07:26:47

1,104

2410.00

XLON

1265702

11-Aug-2022

07:13:01

1,007

2409.00

XLON

1243077

11-Aug-2022

07:02:50

487

2416.00

XLON

1224838

11-Aug-2022

07:02:50

574

2416.00

XLON

1224836

11-Aug-2022

07:01:21

960

2417.00

XLON

1221454

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Disclaimer

Relx plc published this content on 11 August 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 12 August 2022 07:09:09 UTC.