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Transaction in Own Shares

20th May 2025 07:00

RNS Number : 2990J
London Stock Exchange Group PLC
20 May 2025
 

London Stock Exchange Group PLC

 

TRANSACTIONS IN OWN SECURITIES

 

 

20 May 2025

 

London Stock Exchange Group plc (LSEG) announces today that it has purchased the following number of its ordinary shares of 679/86 pence each on the London Stock Exchange from Morgan Stanley & Co. International Plc (Morgan Stanley) as part of its share buyback programme, as announced on 3 March 2025:

 

Ordinary Shares

 

Date of purchase:

19 May 2025

Number of ordinary shares purchased:

4,023

Highest price paid per share:

11,410.00p

Lowest price paid per share:

11,355.00p

Volume weighted average price per share:

11,386.45p

 

LSEG intends to hold the purchased shares in treasury.

 

Following the above transactions, LSEG holds 14,132,963 of its ordinary shares of 679/86 pence each in treasury and has 529,467,003 ordinary shares of 679/86 pence each in issue (excluding treasury shares). Therefore, the total voting rights in the Company will be 529,467,003. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) as the denominator for the calculation by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.

 

In accordance with Article 5(1)(b) of Market Abuse Regulation (EU) No 596/2014 (as it forms part of the law of the United Kingdom by virtue of the European Union (Withdrawal) Act 2018, as implemented, retained, amended, extended, re-enacted or otherwise given effect in the United Kingdom from 1 January 2021 and as amended or supplemented in the United Kingdom thereafter) a full breakdown of the individual trades made by the Morgan Stanley on behalf of the Company as part of the buyback programme is included below.

 

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

 

 

For further information, please contact:

 

London Stock Exchange Group plc

Lucie Holloway, Rhiannon Davies (Media)

+44 (0)20 7797 1222

[email protected]

Peregrine Riviere (Investors)

 

Schedule of Purchases

 

Shares purchased:

4,023 (ISIN: GB00B0SWJX34)

Date of purchases:

19 May 2025

Investment firm:

Morgan Stanley & Co. International Plc

 

 

Aggregate Information:

Venue

Volume weighted average price

Aggregated Volume

Lowest price per share

Highest price per share

XLON

11,386.38p

3,026

11,355.00p

11,410.00p

TRQX

11,386.67p

997

11,355.00p

11,410.00p

 

Detailed Information:

 

Trade Date

Trade Time

Currency

Volume

Price

Trading Venue

Transaction ID

19/05/2025

08:20:00

GBP

7

11355.00

XLON

E0N6ylt3jmt5

19/05/2025

08:20:01

GBP

106

11355.00

TRQX

E0N6yluEQZfd

19/05/2025

08:24:34

GBP

123

11355.00

XLON

E0N6ylt3jvFQ

19/05/2025

08:40:29

GBP

110

11390.00

TRQX

E0N6yluESIdA

19/05/2025

08:49:03

GBP

123

11405.00

XLON

E0N6ylt3kW7l

19/05/2025

09:00:05

GBP

3

11405.00

TRQX

E0N6yluETh1F

19/05/2025

09:00:05

GBP

111

11405.00

TRQX

E0N6yluETh1I

19/05/2025

09:22:40

GBP

112

11390.00

TRQX

E0N6yluEV5eU

19/05/2025

09:30:25

GBP

117

11395.00

XLON

E0N6ylt3lLAj

19/05/2025

09:36:39

GBP

44

11395.00

XLON

E0N6ylt3lRH1

19/05/2025

09:36:39

GBP

79

11395.00

TRQX

E0N6yluEVtpZ

19/05/2025

09:42:22

GBP

123

11380.00

XLON

E0N6ylt3lXAQ

19/05/2025

09:50:56

GBP

106

11385.00

XLON

E0N6ylt3liP6

19/05/2025

09:57:10

GBP

126

11400.00

XLON

E0N6ylt3lnM4

19/05/2025

10:00:14

GBP

108

11390.00

XLON

E0N6ylt3lqIk

19/05/2025

10:06:20

GBP

108

11375.00

XLON

E0N6ylt3lyRf

19/05/2025

10:18:24

GBP

49

11370.00

XLON

E0N6ylt3m9ME

19/05/2025

10:18:24

GBP

62

11370.00

XLON

E0N6ylt3m9MG

19/05/2025

10:23:25

GBP

109

11355.00

XLON

E0N6ylt3mE0v

19/05/2025

10:37:31

GBP

120

11390.00

XLON

E0N6ylt3mR52

19/05/2025

10:38:50

GBP

117

11385.00

XLON

E0N6ylt3mSUk

19/05/2025

10:43:19

GBP

112

11385.00

XLON

E0N6ylt3mWsd

19/05/2025

10:50:24

GBP

109

11380.00

XLON

E0N6ylt3md2n

19/05/2025

10:59:57

GBP

115

11370.00

XLON

E0N6ylt3mkc4

19/05/2025

11:07:00

GBP

123

11370.00

TRQX

E0N6yluEaT60

19/05/2025

11:14:30

GBP

114

11385.00

XLON

E0N6ylt3my20

19/05/2025

11:24:29

GBP

107

11375.00

XLON

E0N6ylt3n4Wj

19/05/2025

11:32:53

GBP

99

11380.00

TRQX

E0N6yluEbmLz

19/05/2025

11:33:29

GBP

114

11380.00

XLON

E0N6ylt3nEC6

19/05/2025

11:33:29

GBP

14

11380.00

TRQX

E0N6yluEbnvN

19/05/2025

11:44:07

GBP

130

11380.00

XLON

E0N6ylt3nMq8

19/05/2025

11:44:07

GBP

107

11380.00

XLON

E0N6ylt3nMqA

19/05/2025

11:50:32

GBP

124

11385.00

XLON

E0N6ylt3nSCe

19/05/2025

11:57:09

GBP

117

11385.00

TRQX

E0N6yluEcp6i

19/05/2025

12:09:49

GBP

112

11410.00

XLON

E0N6ylt3ngZt

19/05/2025

12:09:49

GBP

115

11410.00

TRQX

E0N6yluEdPzg

19/05/2025

12:17:03

GBP

114

11405.00

XLON

E0N6ylt3nkSR

19/05/2025

12:45:10

GBP

106

11410.00

XLON

E0N6ylt3o4TR

19/05/2025

12:50:09

GBP

8

11410.00

TRQX

E0N6yluEf92p

19/05/2025

12:52:29

GBP

105

11405.00

XLON

E0N6ylt3oBb6

19/05/2025

13:00:01

GBP

115

11410.00

XLON

E0N6ylt3oHZ0

 

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END
 
 
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