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Transaction in Own Shares

27th Jan 2026 07:00

RNS Number : 4228Q
NCC Group PLC
27 January 2026
 

 

27th January 2026

NCC Group plc

("NCC Group" or the "Company")

Transaction in Own Shares

 

NCC Group plc ("NCC Group" or the "Company") announces today it has purchased the following number of its ordinary shares of 1 pence each through Investec Bank plc.

Ordinary Shares

Date of purchase:

26th January 2026

Number of ordinary shares purchased:

184,564

Lowest price per share (pence):

138.80

Highest price per share (pence):

141.20

Weighted average price per day (pence):

139.8487

 

The Company intends to cancel the purchased shares.

Including the above purchases, NCC Group has purchased a total of 453,899 ordinary shares since the commencement of the buyback programme.

Following the purchase and cancellation of these shares, the Company's issued share capital will consist of 314,774,006 shares. The Company does not hold any shares in Treasury.

Once the shares are cancelled, the total number of voting rights in NCC Group will therefore be 314,774,006. This figure may be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest, or a change to their interest, in the Company under the Financial Conduct Authority's Disclosure and Transparency Rules.

2.9 Announcement

In accordance with Rule 2.9 of the City Code on Takeovers and Mergers (the "Code"), NCC confirms that, as at the date and time of this announcement, it has in issue 315,227,905 ordinary shares with a nominal value of 1 pence each, all of which carry one voting right per share ("Ordinary Shares"). The Company does not hold any Ordinary Shares in treasury. Therefore, the total number of voting rights in the Company is 315,227,905.

The International Securities Identification Number for the Ordinary Shares is GB00B01QGK86. The Company's Legal Entity Identifier is 213800DJCGZRB6523934.

The table below contains detailed information about the purchases made as part of the buyback programme.

  

Aggregate information:

Venue

Volume-weighted average price (p)

Aggregated volume

Lowest price per share (p)

Highest price per share (p)

XLON

139.8487

184,564

138.80

141.20

 

Schedule of Purchases - Individual Transactions

In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 as it forms part of UK law, a full breakdown of the individual trades made by Investec on behalf of the Company as part of the Programme is detailed below:

 

Date and time of each trade

Number of shares purchased

Price (pence per share)

Trading Venue

Transaction Reference Number

26 January 2026 08:07:15

535

140.00

XLON

00372083036TRLO1

26 January 2026 08:07:21

159

139.40

XLON

00372083041TRLO1

26 January 2026 08:07:21

911

139.40

XLON

00372083042TRLO1

26 January 2026 08:07:49

535

139.20

XLON

00372083066TRLO1

26 January 2026 08:09:27

570

139.00

XLON

00372083314TRLO1

26 January 2026 08:23:03

566

139.60

XLON

00372084427TRLO1

26 January 2026 08:23:03

566

139.60

XLON

00372084428TRLO1

26 January 2026 08:23:16

1,172

139.60

XLON

00372084437TRLO1

26 January 2026 08:41:04

3,324

139.60

XLON

00372085168TRLO1

26 January 2026 08:47:46

30

139.60

XLON

00372085479TRLO1

26 January 2026 08:47:46

511

139.60

XLON

00372085480TRLO1

26 January 2026 08:57:45

536

139.40

XLON

00372086023TRLO1

26 January 2026 08:57:45

536

139.40

XLON

00372086024TRLO1

26 January 2026 08:57:45

536

139.40

XLON

00372086025TRLO1

26 January 2026 09:01:31

1,073

139.20

XLON

00372086213TRLO1

26 January 2026 09:11:59

573

139.00

XLON

00372086758TRLO1

26 January 2026 09:11:59

573

139.00

XLON

00372086759TRLO1

26 January 2026 09:32:07

567

139.00

XLON

00372087757TRLO1

26 January 2026 09:58:35

738

139.20

XLON

00372088957TRLO1

26 January 2026 10:14:02

197

139.40

XLON

00372089514TRLO1

26 January 2026 10:14:13

218

139.40

XLON

00372089523TRLO1

26 January 2026 10:14:20

95

139.40

XLON

00372089529TRLO1

26 January 2026 10:14:32

192

139.40

XLON

00372089535TRLO1

26 January 2026 10:14:55

110

139.40

XLON

00372089554TRLO1

26 January 2026 10:15:13

122

139.40

XLON

00372089561TRLO1

26 January 2026 10:48:01

542

139.20

XLON

00372090774TRLO1

26 January 2026 10:48:01

541

139.20

XLON

00372090775TRLO1

26 January 2026 10:55:29

1,080

139.00

XLON

00372091066TRLO1

26 January 2026 10:55:29

514

139.00

XLON

00372091067TRLO1

26 January 2026 10:55:29

808

139.00

XLON

00372091068TRLO1

26 January 2026 10:56:14

1,133

139.00

XLON

00372091108TRLO1

26 January 2026 12:15:28

2,221

139.60

XLON

00372093958TRLO1

26 January 2026 12:15:28

466

139.60

XLON

00372093959TRLO1

26 January 2026 12:15:28

1,300

139.60

XLON

00372093960TRLO1

26 January 2026 12:25:04

1,791

139.00

XLON

00372094324TRLO1

26 January 2026 12:30:12

979

139.60

XLON

00372094507TRLO1

26 January 2026 12:30:12

144

139.60

XLON

00372094508TRLO1

26 January 2026 12:30:12

514

139.60

XLON

00372094509TRLO1

26 January 2026 12:30:12

1,300

139.60

XLON

00372094510TRLO1

26 January 2026 12:30:12

936

139.60

XLON

00372094511TRLO1

26 January 2026 12:43:51

1,073

139.40

XLON

00372094887TRLO1

26 January 2026 12:43:51

536

139.40

XLON

00372094888TRLO1

26 January 2026 12:43:51

1,662

139.20

XLON

00372094889TRLO1

26 January 2026 12:43:51

80

139.20

XLON

00372094890TRLO1

26 January 2026 12:43:51

2,006

139.40

XLON

00372094891TRLO1

26 January 2026 12:44:12

578

139.40

XLON

00372094914TRLO1

26 January 2026 12:44:12

38

139.40

XLON

00372094915TRLO1

26 January 2026 12:44:29

604

139.40

XLON

00372094925TRLO1

26 January 2026 12:44:45

501

139.40

XLON

00372094930TRLO1

26 January 2026 12:44:45

86

139.40

XLON

00372094931TRLO1

26 January 2026 12:44:52

8

139.20

XLON

00372094933TRLO1

26 January 2026 13:07:50

2,676

138.80

XLON

00372095614TRLO1

26 January 2026 13:07:50

535

138.80

XLON

00372095615TRLO1

26 January 2026 13:09:23

546

139.00

XLON

00372095659TRLO1

26 January 2026 13:10:24

244

139.00

XLON

00372095672TRLO1

26 January 2026 13:10:24

296

139.00

XLON

00372095673TRLO1

26 January 2026 13:47:38

2,022

139.20

XLON

00372096951TRLO1

26 January 2026 13:47:38

891

139.20

XLON

00372096952TRLO1

26 January 2026 13:47:38

2,767

139.20

XLON

00372096953TRLO1

26 January 2026 13:47:38

3,190

139.20

XLON

00372096954TRLO1

26 January 2026 13:47:39

144

139.40

XLON

00372096959TRLO1

26 January 2026 14:16:29

665

139.20

XLON

00372098485TRLO1

26 January 2026 14:18:50

399

139.00

XLON

00372098603TRLO1

26 January 2026 14:28:57

584

139.40

XLON

00372099199TRLO1

26 January 2026 14:31:13

8,828

140.00

XLON

00372100159TRLO1

26 January 2026 14:31:13

260

140.00

XLON

00372100160TRLO1

26 January 2026 14:31:14

853

140.00

XLON

00372100169TRLO1

26 January 2026 14:31:34

100,000

140.00

XLON

00372100221TRLO1

26 January 2026 14:35:52

1,751

140.20

XLON

00372101287TRLO1

26 January 2026 15:25:34

173

140.20

XLON

00372104740TRLO1

26 January 2026 15:25:34

960

140.20

XLON

00372104741TRLO1

26 January 2026 15:25:34

566

140.20

XLON

00372104742TRLO1

26 January 2026 15:31:01

215

140.40

XLON

00372105148TRLO1

26 January 2026 15:39:30

607

140.20

XLON

00372105773TRLO1

26 January 2026 15:39:30

2,915

140.60

XLON

00372105774TRLO1

26 January 2026 15:39:30

1,000

140.60

XLON

00372105775TRLO1

26 January 2026 15:39:33

695

140.60

XLON

00372105786TRLO1

26 January 2026 15:39:52

233

140.60

XLON

00372105798TRLO1

26 January 2026 15:43:41

801

140.40

XLON

00372106244TRLO1

26 January 2026 15:43:41

891

140.40

XLON

00372106245TRLO1

26 January 2026 15:56:54

298

140.40

XLON

00372107306TRLO1

26 January 2026 15:57:37

221

140.40

XLON

00372107371TRLO1

26 January 2026 15:59:02

138

140.40

XLON

00372107475TRLO1

26 January 2026 16:03:07

1,095

140.40

XLON

00372107805TRLO1

26 January 2026 16:03:08

112

140.20

XLON

00372107806TRLO1

26 January 2026 16:03:10

112

140.00

XLON

00372107811TRLO1

26 January 2026 16:03:10

1,036

140.00

XLON

00372107812TRLO1

26 January 2026 16:04:43

1,158

140.00

XLON

00372107887TRLO1

26 January 2026 16:06:05

216

140.00

XLON

00372107957TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108337TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108338TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108339TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108340TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108341TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108342TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108343TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108344TRLO1

26 January 2026 16:10:44

436

140.40

XLON

00372108345TRLO1

26 January 2026 16:10:45

769

140.20

XLON

00372108346TRLO1

26 January 2026 16:10:45

900

140.20

XLON

00372108347TRLO1

26 January 2026 16:12:17

681

140.40

XLON

00372108475TRLO1

26 January 2026 16:12:17

568

140.40

XLON

00372108476TRLO1

26 January 2026 16:12:18

820

140.40

XLON

00372108481TRLO1

26 January 2026 16:15:07

213

140.40

XLON

00372108772TRLO1

26 January 2026 16:17:51

210

141.20

XLON

00372108973TRLO1

 

 

 

 

For further information please contact:

Jonathan WilliamsCompany Secretary [email protected]

LEI: 213800DJCGZRB6523934

 

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END
 
 
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