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COUNTRYSIDE PARTNERSHIPS LIMITED

Company number 09878920

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Date (document was filed at Companies House) Type Description (of the document filed at Companies House) View / Download (PDF file, link opens in new window)
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 146,877.6
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 157,061.75
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 162,342.48
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 172,053.91
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 183,753.91
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 193,553.91
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 198,562.13
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 207,272.13
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 215,859.86
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 217,826.36
  • ANNOTATION Clarification hmrc confirmation received that appropriate duty has been paid on this transaction
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 221,526.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 225,596.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 237,756.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 241,246.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 244,106.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 248,006.36
11 May 2023 SH03 Purchase of own shares. Shares purchased into treasury:
  • GBP 251,566.36
30 Mar 2023 AA Group of companies' accounts made up to 30 September 2022
07 Dec 2022 PSC02 Notification of Vistry Group Plc as a person with significant control on 11 November 2022
07 Dec 2022 CS01 Confirmation statement made on 1 December 2022 with updates
02 Dec 2022 RESOLUTIONS Resolutions
  • RES02 ‐ Resolution of re-registration
02 Dec 2022 MAR Re-registration of Memorandum and Articles
02 Dec 2022 CERT10 Certificate of re-registration from Public Limited Company to Private
02 Dec 2022 RR02 Re-registration from a public company to a private limited company
18 Nov 2022 MR04 Satisfaction of charge 098789200002 in full