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Transaction in Own Shares - Amendment

11th Jun 2025 16:43

RNS Number : 4613M
IP Group PLC
11 June 2025
 

The following amendment has been made to the 'Transaction in own shares' announcement released on 11/06/2025 at 07:00 under RNS No 2720M.

The date has been amended to 10/06/2025.

All other details remain unchanged.The full text is shown below.

 

Transaction in Own Shares

 

IP Group plc (LSE: IPO) ("IP Group" or "the Group"), today announces that Numis Securities Limited (which is trading for these purposes as Deutsche Numis) ("Deutsche Numis"), purchased on behalf of IP Group the number of ordinary shares of 2 pence each on the London Stock Exchange as set out in the table below (the Repurchased Shares) pursuant to the IP Group share buyback programme, an extension to which was announced on 09 January 2025 (the Buyback Programme).

Date of purchase:

10/06/2025

Number of ordinary shares purchased:

690,000

Highest price paid per ordinary share (GBp):

48.40

Lowest price paid per ordinary share (GBp): 

47.95

Volume weighted average price paid per ordinary share (GBp): 

48.2965

 

Any Ordinary Shares purchased under the Buyback Programme will be cancelled in order to decrease the number of Ordinary Shares in issue. Accordingly, following the above transaction and subsequent cancellation of the Repurchased Shares, the Group has 924,132,336 ordinary shares in issue with voting rights. This number may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, IP Group under the FCA's Disclosure Guidance and Transparency Rules. There are no Ordinary Shares held in treasury.

 

IP Group will make further announcements following the completion of any additional purchases pursuant to the Buyback Programme.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), the schedule below contains detailed information about the purchases made by Deutsche Numis on behalf of IP Group as part of the Buyback Programme.

 

Both aggregate data in respect of the Repurchased Shares as well as the individual purchases are set out below.

 

Aggregate information:

 

Issuer name and ISIN: IP Group plc (ISIN: GB00B128J450)

 

Date of purchases:

10/06/2025

Number of ordinary shares purchased:

690,000

Volume weighted average price (pence):

48.2965

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price(GBp share)

Time of transaction (UK Time)

Trading venue

7602

48.00

 08:28:38

XLON

9230

48.20

 08:29:55

XLON

19905

48.30

 08:39:07

XLON

5794

48.05

 08:39:50

XLON

3799

48.05

 08:41:47

XLON

5319

48.05

 08:41:47

XLON

3405

48.05

 08:41:47

XLON

8112

48.00

 08:51:01

XLON

9293

47.95

 09:01:59

XLON

3964

48.05

 09:13:30

XLON

3794

48.05

 09:13:30

XLON

8152

48.05

 09:13:30

XLON

12060

48.35

 10:12:27

XLON

2661

48.35

 10:12:27

XLON

2058

48.40

 10:12:30

XLON

958

48.40

 10:12:30

XLON

3000

48.40

 10:12:30

XLON

209

48.30

 10:12:31

XLON

439

48.30

 10:17:13

XLON

3000

48.40

 10:24:10

XLON

1024

48.40

 10:24:10

XLON

993

48.40

 10:24:10

XLON

2849

48.40

 10:24:10

XLON

930

48.40

 10:24:10

XLON

1835

48.40

 10:24:10

XLON

3000

48.40

 10:24:10

XLON

1042

48.40

 10:24:10

XLON

3000

48.40

 10:24:10

XLON

8547

48.35

 10:35:13

XLON

2972

48.40

 10:50:13

XLON

713

48.40

 10:50:13

XLON

3000

48.40

 10:50:13

XLON

806

48.40

 10:50:13

XLON

594

48.40

 10:50:13

XLON

713

48.40

 10:50:13

XLON

181

48.40

 10:50:13

XLON

3000

48.40

 10:50:13

XLON

7600

48.35

 10:50:13

XLON

5452

48.35

 10:50:13

XLON

744

48.35

 10:50:13

XLON

921

48.35

 10:50:13

XLON

2

48.35

 10:50:13

XLON

778

48.35

 10:50:13

XLON

360

48.35

 10:50:13

XLON

1068

48.35

 10:50:13

XLON

2919

48.35

 10:50:13

XLON

8557

48.40

 12:08:45

XLON

7764

48.40

 12:08:45

XLON

13100

48.40

 12:08:45

XLON

7880

48.40

 12:08:45

XLON

8455

48.40

 12:08:45

XLON

8137

48.40

 12:08:45

XLON

8056

48.40

 12:08:45

XLON

1925

48.40

 12:08:45

XLON

6406

48.40

 12:08:45

XLON

7754

48.40

 12:08:45

XLON

12060

48.40

 12:08:45

XLON

431

48.40

 12:08:45

XLON

154

48.40

 15:14:44

XLON

8136

48.40

 15:14:44

XLON

9008

48.40

 15:14:44

XLON

8892

48.40

 15:14:44

XLON

3052

48.40

 15:14:44

XLON

8379

48.40

 15:14:44

XLON

5031

48.40

 15:14:44

XLON

8488

48.40

 15:14:44

XLON

8752

48.40

 15:14:44

XLON

3

48.40

 15:14:44

XLON

442

48.40

 15:14:44

XLON

725

48.40

 15:14:44

XLON

11

48.40

 15:14:44

XLON

6000

48.40

 15:14:44

XLON

681

48.40

 15:14:44

XLON

1319

48.40

 15:14:44

XLON

7446

48.40

 15:15:14

XLON

7910

48.40

 15:15:14

XLON

9358

48.40

 15:15:14

XLON

131

48.40

 15:15:14

XLON

8227

48.40

 15:15:14

XLON

9088

48.40

 15:15:14

XLON

7840

48.40

 15:15:14

XLON

9023

48.40

 15:16:19

XLON

8591

48.40

 15:16:19

XLON

8128

48.40

 15:16:19

XLON

2709

48.40

 15:16:19

XLON

3198

48.40

 15:16:19

XLON

14411

48.40

 15:16:19

XLON

18955

48.40

 15:16:19

XLON

6000

48.40

 15:16:19

XLON

8314

48.40

 15:16:19

XLON

2000

48.40

 15:16:19

XLON

10700

48.40

 15:16:19

XLON

3421

48.40

 15:16:19

XLON

14265

48.40

 15:16:19

XLON

5684

48.40

 15:16:19

XLON

4483

48.25

 15:17:23

XLON

3103

48.25

 15:17:23

XLON

7586

48.20

 15:17:31

XLON

8425

48.20

 15:17:31

XLON

8697

48.20

 15:24:22

XLON

871

48.20

 15:29:22

XLON

962

48.20

 15:29:22

XLON

844

48.20

 15:29:22

XLON

500

48.20

 15:29:22

XLON

400

48.20

 15:29:22

XLON

3165

48.20

 15:29:22

XLON

2249

48.20

 15:29:22

XLON

4000

48.15

 15:29:30

XLON

5327

48.15

 15:29:30

XLON

8100

48.15

 15:29:30

XLON

915

48.15

 15:29:30

XLON

990

48.15

 15:29:30

XLON

2423

48.15

 15:29:30

XLON

7764

48.15

 15:40:59

XLON

862

48.20

 15:44:45

XLON

960

48.20

 15:44:45

XLON

628

48.20

 15:44:45

XLON

1684

48.20

 15:44:45

XLON

1452

48.20

 15:44:45

XLON

8453

48.20

 15:47:39

XLON

2805

48.20

 15:47:39

XLON

4946

48.20

 15:47:40

XLON

8504

48.20

 15:47:40

XLON

1994

48.20

 15:56:12

XLON

6929

48.20

 15:56:12

XLON

7700

48.20

 15:56:12

XLON

1373

48.20

 15:56:12

XLON

7

48.15

 15:58:32

XLON

48

48.15

 15:58:32

XLON

9319

48.15

 16:02:02

XLON

8844

48.15

 16:05:02

XLON

8878

48.15

 16:07:04

XLON

84

48.10

 16:10:12

XLON

45

48.10

 16:10:17

XLON

162

48.10

 16:10:22

XLON

9126

48.10

 16:10:22

XLON

1554

48.15

 16:14:46

XLON

481

48.20

 16:16:04

XLON

1032

48.20

 16:16:04

XLON

473

48.20

 16:16:04

XLON

10000

48.20

 16:16:04

XLON

849

48.20

 16:16:04

XLON

6000

48.20

 16:16:45

XLON

2000

48.20

 16:16:45

XLON

35

48.20

 16:16:45

XLON

1060

48.20

 16:17:45

XLON

4600

48.20

 16:17:45

XLON

928

48.20

 16:17:45

XLON

615

48.20

 16:17:45

XLON

733

48.20

 16:17:45

XLON

851

48.20

 16:17:45

XLON

522

48.20

 16:20:45

XLON

904

48.20

 16:20:45

XLON

874

48.20

 16:20:45

XLON

1147

48.20

 16:20:45

XLON

924

48.20

 16:20:45

XLON

1099

48.20

 16:20:45

XLON

4918

48.20

 16:20:45

XLON

 

 

For more information, please contact:

 

IP Group plc

www.ipgroupplc.com

Liz Vaughan-Adams, Communications

+44 (0) 20 7444 0062/+44 (0) 7967 312125

Portland

Alex Donaldson

+44 (0) 7516 729702

 

Further information on IP Group is available on our website: www.ipgroupplc.com

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END
 
 
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