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Transaction in Own Shares

4th Jun 2026 07:00

RNS Number : 9002G
Gamma Communications PLC
04 June 2026
 

4 June 2026

 

NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION, IN WHOLE OR IN PART, DIRECTLY OR INDIRECTLY, IN, INTO OR FROM ANY JURISDICTION WHERE TO DO SO WOULD CONSTITUTE A VIOLATION OF THE RELEVANT LAWS OF THAT JURISDICTION

Gamma Communications plc

 

Transaction in Own Shares and Rule 2.9 Announcement

 

Gamma Communications plc ("Gamma" or the "Company") announces today that in accordance with the terms of its share buyback programme announced on 13 January 2026 (the "Buyback Programme"), it has purchased the following number of its ordinary shares of 0.25 pence each ("ordinary shares") through Investec Bank plc ("Investec").

 

Ordinary shares

Date of purchase:

3 June 2026

Number of ordinary shares purchased:

23,500

Lowest price per share (pence):

947.50

Highest price per share (pence):

968.00

Weighted average price per day (pence):

959.2190

 

 The Company intends to cancel the purchased ordinary shares.

 

Following settlement of the above purchases, Gamma has purchased a total of 1,948,113 ordinary shares since the commencement of the buyback programme and will have 91,816,238 ordinary shares in issue. There are 1,552,152 ordinary shares held in treasury. The total voting rights in the Company are therefore 90,264,086 and this can be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or change to their interest in, the Company under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.

 

Rule 2.9

The Company announced on 7 April 2026 that it had entered into an offer period. The ordinary shares are relevant securities of Gamma for the purposes of Rule 8 of The City Code on Takeovers and Mergers (the "Code"). In accordance with Rule 2.9 of the Code, the Company confirms that it has 90,264,086 ordinary shares in issue (excluding treasury shares) as at the date and time of this announcement. The ordinary shares are voting shares (each such ordinary share carries one vote per ordinary share) and are admitted to trading on the main market of the London Stock Exchange under the International Securities Identification Number GB00BQS10J50 and the Company's LEI number is 213800LAQZXPRIZUEH50.

 

Aggregate information:

Venue

Volume-weighted average price (p)

Aggregated volume

Lowest price per share (p)

Highest price per share (p)

XLON

959.2190

23,500

947.50

968.00

 

 

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 found below.

 

Date and time of each trade

Number of shares purchased

Price (pence per share)

Trading Venue

Transaction Reference Number

03 June 2026 08:02:29

82

967.50

XLON

00396838041TRLO1

03 June 2026 08:06:46

84

963.50

XLON

00396840710TRLO1

03 June 2026 08:10:13

80

961.50

XLON

00396842024TRLO1

03 June 2026 08:14:49

85

961.50

XLON

00396843767TRLO1

03 June 2026 08:24:04

112

960.50

XLON

00396846994TRLO1

03 June 2026 08:24:04

42

960.50

XLON

00396846993TRLO1

03 June 2026 08:24:04

78

960.50

XLON

00396846992TRLO1

03 June 2026 08:24:04

827

960.00

XLON

00396846995TRLO1

03 June 2026 08:24:06

56

957.50

XLON

00396847044TRLO1

03 June 2026 08:39:53

67

960.00

XLON

00396851612TRLO1

03 June 2026 08:39:53

176

960.00

XLON

00396851611TRLO1

03 June 2026 08:43:13

243

961.00

XLON

00396852380TRLO1

03 June 2026 08:54:41

213

959.50

XLON

00396855231TRLO1

03 June 2026 08:54:41

15

959.50

XLON

00396855232TRLO1

03 June 2026 09:06:52

37

960.50

XLON

00396858411TRLO1

03 June 2026 09:06:52

187

960.50

XLON

00396858408TRLO1

03 June 2026 09:16:10

232

960.00

XLON

00396861015TRLO1

03 June 2026 09:18:46

233

958.50

XLON

00396861965TRLO1

03 June 2026 09:22:25

239

958.00

XLON

00396863112TRLO1

03 June 2026 09:23:14

192

958.00

XLON

00396863416TRLO1

03 June 2026 09:23:14

35

958.00

XLON

00396863417TRLO1

03 June 2026 09:32:19

244

957.50

XLON

00396865541TRLO1

03 June 2026 09:33:56

235

960.50

XLON

00396865839TRLO1

03 June 2026 09:36:38

233

959.50

XLON

00396866535TRLO1

03 June 2026 09:52:56

236

958.50

XLON

00396871684TRLO1

03 June 2026 10:13:38

15

960.00

XLON

00396880018TRLO1

03 June 2026 10:15:25

214

960.00

XLON

00396880831TRLO1

03 June 2026 10:38:09

242

959.50

XLON

00396889384TRLO1

03 June 2026 10:39:21

153

959.50

XLON

00396889819TRLO1

03 June 2026 10:55:13

27

964.00

XLON

00396899284TRLO1

03 June 2026 10:55:13

87

964.00

XLON

00396899283TRLO1

03 June 2026 10:57:56

33

962.50

XLON

00396901037TRLO1

03 June 2026 10:58:36

84

962.50

XLON

00396901368TRLO1

03 June 2026 10:58:36

237

962.00

XLON

00396901369TRLO1

03 June 2026 11:01:30

91

962.00

XLON

00396901972TRLO1

03 June 2026 11:01:30

225

962.00

XLON

00396901971TRLO1

03 June 2026 11:01:30

13

961.00

XLON

00396901974TRLO1

03 June 2026 11:01:30

137

961.00

XLON

00396901973TRLO1

03 June 2026 11:10:49

26

964.00

XLON

00396902440TRLO1

03 June 2026 11:10:49

210

964.00

XLON

00396902439TRLO1

03 June 2026 11:10:50

8

963.50

XLON

00396902445TRLO1

03 June 2026 11:10:50

10

963.50

XLON

00396902444TRLO1

03 June 2026 11:10:50

11

963.50

XLON

00396902443TRLO1

03 June 2026 11:10:50

207

963.50

XLON

00396902442TRLO1

03 June 2026 11:20:10

243

963.00

XLON

00396902802TRLO1

03 June 2026 11:20:18

28

963.00

XLON

00396902809TRLO1

03 June 2026 11:34:28

244

964.00

XLON

00396903304TRLO1

03 June 2026 11:37:07

174

962.00

XLON

00396904150TRLO1

03 June 2026 11:38:51

74

965.50

XLON

00396904209TRLO1

03 June 2026 11:38:51

57

965.50

XLON

00396904208TRLO1

03 June 2026 11:43:45

48

966.00

XLON

00396904439TRLO1

03 June 2026 11:43:45

12

966.00

XLON

00396904443TRLO1

03 June 2026 11:43:45

22

966.00

XLON

00396904442TRLO1

03 June 2026 11:43:45

21

966.00

XLON

00396904441TRLO1

03 June 2026 11:43:45

239

965.50

XLON

00396904440TRLO1

03 June 2026 11:43:45

239

965.50

XLON

00396904444TRLO1

03 June 2026 11:47:35

232

963.00

XLON

00396904658TRLO1

03 June 2026 11:54:20

54

963.50

XLON

00396904888TRLO1

03 June 2026 12:12:46

242

964.00

XLON

00396905677TRLO1

03 June 2026 12:18:41

224

963.00

XLON

00396905849TRLO1

03 June 2026 12:23:35

226

965.00

XLON

00396905981TRLO1

03 June 2026 12:23:52

187

967.00

XLON

00396905988TRLO1

03 June 2026 12:23:52

43

967.00

XLON

00396905987TRLO1

03 June 2026 12:23:52

230

967.50

XLON

00396905989TRLO1

03 June 2026 12:24:52

202

966.50

XLON

00396906034TRLO1

03 June 2026 12:28:59

226

967.00

XLON

00396906178TRLO1

03 June 2026 12:34:44

229

967.50

XLON

00396906359TRLO1

03 June 2026 12:34:44

16

967.50

XLON

00396906360TRLO1

03 June 2026 12:40:22

166

968.00

XLON

00396906542TRLO1

03 June 2026 12:40:22

73

968.00

XLON

00396906541TRLO1

03 June 2026 12:48:38

24

968.00

XLON

00396906817TRLO1

03 June 2026 12:58:24

201

967.50

XLON

00396907136TRLO1

03 June 2026 12:58:24

24

967.50

XLON

00396907135TRLO1

03 June 2026 12:59:50

227

967.50

XLON

00396907191TRLO1

03 June 2026 13:00:24

230

967.00

XLON

00396907209TRLO1

03 June 2026 13:10:07

240

966.00

XLON

00396907481TRLO1

03 June 2026 13:17:12

237

965.50

XLON

00396907657TRLO1

03 June 2026 13:30:28

233

965.00

XLON

00396908023TRLO1

03 June 2026 13:44:04

53

966.00

XLON

00396908443TRLO1

03 June 2026 13:44:04

30

966.00

XLON

00396908442TRLO1

03 June 2026 13:44:04

45

966.00

XLON

00396908441TRLO1

03 June 2026 13:49:35

52

966.00

XLON

00396908632TRLO1

03 June 2026 13:49:35

38

966.00

XLON

00396908633TRLO1

03 June 2026 13:55:17

237

966.00

XLON

00396908886TRLO1

03 June 2026 13:55:46

245

966.00

XLON

00396908903TRLO1

03 June 2026 14:01:08

117

965.50

XLON

00396909043TRLO1

03 June 2026 14:01:08

109

965.50

XLON

00396909042TRLO1

03 June 2026 14:06:13

120

964.50

XLON

00396909214TRLO1

03 June 2026 14:08:21

42

964.50

XLON

00396909283TRLO1

03 June 2026 14:08:21

224

964.50

XLON

00396909282TRLO1

03 June 2026 14:09:57

224

963.50

XLON

00396909340TRLO1

03 June 2026 14:25:44

228

963.50

XLON

00396909939TRLO1

03 June 2026 14:26:30

70

962.00

XLON

00396909986TRLO1

03 June 2026 14:29:51

166

962.00

XLON

00396910090TRLO1

03 June 2026 14:33:44

242

962.00

XLON

00396910357TRLO1

03 June 2026 14:35:13

229

961.00

XLON

00396910443TRLO1

03 June 2026 14:35:13

228

960.50

XLON

00396910444TRLO1

03 June 2026 14:35:13

228

960.00

XLON

00396910445TRLO1

03 June 2026 14:35:13

228

960.00

XLON

00396910446TRLO1

03 June 2026 14:35:13

229

960.00

XLON

00396910447TRLO1

03 June 2026 14:35:13

229

959.00

XLON

00396910454TRLO1

03 June 2026 14:37:35

245

957.50

XLON

00396910605TRLO1

03 June 2026 14:42:51

149

960.00

XLON

00396910863TRLO1

03 June 2026 14:42:51

232

960.00

XLON

00396910862TRLO1

03 June 2026 14:43:12

239

961.00

XLON

00396910876TRLO1

03 June 2026 14:43:12

239

961.50

XLON

00396910875TRLO1

03 June 2026 14:43:51

232

960.50

XLON

00396910922TRLO1

03 June 2026 14:44:24

239

959.50

XLON

00396910966TRLO1

03 June 2026 14:45:56

228

957.50

XLON

00396911092TRLO1

03 June 2026 14:46:38

36

955.50

XLON

00396911137TRLO1

03 June 2026 14:46:38

47

955.50

XLON

00396911138TRLO1

03 June 2026 14:49:12

154

955.50

XLON

00396911311TRLO1

03 June 2026 14:49:12

79

955.50

XLON

00396911310TRLO1

03 June 2026 14:56:00

238

956.00

XLON

00396911850TRLO1

03 June 2026 14:56:00

1

956.00

XLON

00396911849TRLO1

03 June 2026 14:59:59

227

955.00

XLON

00396912160TRLO1

03 June 2026 15:01:09

17

956.00

XLON

00396912252TRLO1

03 June 2026 15:01:09

1

956.00

XLON

00396912253TRLO1

03 June 2026 15:01:16

212

956.00

XLON

00396912265TRLO1

03 June 2026 15:04:18

8

954.50

XLON

00396912439TRLO1

03 June 2026 15:04:18

39

954.50

XLON

00396912438TRLO1

03 June 2026 15:04:18

185

954.50

XLON

00396912437TRLO1

03 June 2026 15:05:06

226

951.00

XLON

00396912497TRLO1

03 June 2026 15:08:23

75

952.00

XLON

00396912756TRLO1

03 June 2026 15:08:23

160

952.00

XLON

00396912755TRLO1

03 June 2026 15:08:23

234

952.00

XLON

00396912757TRLO1

03 June 2026 15:10:57

70

950.50

XLON

00396912933TRLO1

03 June 2026 15:10:57

165

950.50

XLON

00396912932TRLO1

03 June 2026 15:14:32

486

950.00

XLON

00396913120TRLO1

03 June 2026 15:16:30

315

950.50

XLON

00396913485TRLO1

03 June 2026 15:17:13

151

950.00

XLON

00396913558TRLO1

03 June 2026 15:17:13

82

950.00

XLON

00396913557TRLO1

03 June 2026 15:20:02

240

949.50

XLON

00396913964TRLO1

03 June 2026 15:28:13

243

949.00

XLON

00396914777TRLO1

03 June 2026 15:32:13

119

950.50

XLON

00396915170TRLO1

03 June 2026 15:32:13

111

950.50

XLON

00396915169TRLO1

03 June 2026 15:42:18

233

950.50

XLON

00396916042TRLO1

03 June 2026 15:44:59

47

948.50

XLON

00396916486TRLO1

03 June 2026 15:44:59

71

948.50

XLON

00396916485TRLO1

03 June 2026 15:44:59

111

948.50

XLON

00396916484TRLO1

03 June 2026 15:50:28

231

948.00

XLON

00396916987TRLO1

03 June 2026 15:57:02

234

947.50

XLON

00396917356TRLO1

03 June 2026 16:01:00

80

948.50

XLON

00396917691TRLO1

03 June 2026 16:09:31

163

948.00

XLON

00396918257TRLO1

03 June 2026 16:09:31

80

948.00

XLON

00396918256TRLO1

03 June 2026 16:10:10

106

948.50

XLON

00396918343TRLO1

03 June 2026 16:10:10

9

948.50

XLON

00396918344TRLO1

03 June 2026 16:10:10

106

948.50

XLON

00396918348TRLO1

03 June 2026 16:10:10

113

948.50

XLON

00396918347TRLO1

03 June 2026 16:10:10

8

948.50

XLON

00396918346TRLO1

03 June 2026 16:13:11

4

951.50

XLON

00396918614TRLO1

03 June 2026 16:13:11

235

951.50

XLON

00396918613TRLO1

03 June 2026 16:13:14

238

951.00

XLON

00396918622TRLO1

03 June 2026 16:13:14

1

951.00

XLON

00396918621TRLO1

03 June 2026 16:13:31

132

951.00

XLON

00396918647TRLO1

03 June 2026 16:13:31

97

951.00

XLON

00396918646TRLO1

03 June 2026 16:14:12

179

951.00

XLON

00396918689TRLO1

03 June 2026 16:19:34

141

952.50

XLON

00396919119TRLO1

03 June 2026 16:19:34

84

952.50

XLON

00396919120TRLO1

 

 

Enquiries:

 

Gamma Communications plc

Martin Hellawell, Chair

Andrew Belshaw, Chief Executive Officer

Rachael Matzopoulos, Company Secretary

 

+44 (0) 33 3006 5972

Barclays Bank PLC, acting through its Investment Bank

(Lead Financial Adviser)

Alastair Blackman / Alex Evans / Callum West / Michael Hart

 

+44 (0) 20 7623 2323

Q Advisors (Joint Financial Adviser) 

Michael Quinn / Kristian MacCarter

 

+1 720 837 3214

Investec (Joint Financial Adviser and Joint Broker) 

Patrick Robb / Virginia Bull

 

+44 (0) 20 7597 5970

Peel Hunt (Joint Financial Adviser and Joint Broker) 

Neil Patel / Alice Lane / Benjamin Cryer

+44 (0) 20 7418 8900 

Teneo (Financial PR Adviser) 

James Macey White / Matt Low

+44 (0) 20 7260 2700

Disclaimer

Barclays Bank PLC, acting through its Investment Bank ("Barclays"), which is authorised by the Prudential Regulation Authority and regulated in the United Kingdom by the Financial Conduct Authority and the Prudential Regulation Authority, is acting exclusively for Gamma and no one else in connection with the matters set out in this announcement and will not be responsible to anyone other than Gamma for providing the protections afforded to clients of Barclays nor for providing advice in relation to any matter referred to in this announcement.

Investec Bank plc ("Investec"), which is authorised by the Prudential Regulation Authority (the "PRA") and regulated by the Financial Conduct Authority and PRA in the United Kingdom, is acting exclusively for Gamma and for no one else in connection with the matters set out in this announcement and will not be responsible to any person other than Gamma for providing the protections afforded to clients of Investec, nor for providing advice in relation to any matter referred to in this announcement. Neither Investec nor any of its subsidiaries, branches or affiliates owes or accepts any duty, liability or responsibility whatsoever (whether direct or indirect, whether in contract, in tort, under statute or otherwise) to any person who is not a client of Investec in connection with this announcement, any statement contained herein or otherwise.

Peel Hunt LLP is authorised and regulated in the United Kingdom by the Financial Conduct Authority and is acting exclusively for Gamma and no one else in connection with the matters set out in this announcement and will not be responsible to anyone other than Gamma for providing the protections afforded to clients of Peel Hunt LLP nor for providing advice in relation to any matter referred to in this announcement.

In accordance with the Code, normal United Kingdom market practice and Rule 14e-5(b) of the Securities Exchange Act 1934 of the United States, Barclays, Investec, Peel Hunt and its affiliates will continue to act as exempt principal traders in Gamma securities on the London Stock Exchange. These purchases and activities by exempt principal traders which are required to be made public in the United Kingdom pursuant to the Code will be reported to a Regulatory Information Service and will be available on the London Stock Exchange website at www.londonstockexchange.com. This information will also be publicly disclosed in the United States to the extent that such information is made public in the United Kingdom.

Disclosure requirements of the Code

Under Rule 8.3(a) of the Code, any person who is interested in 1% or more of any class of relevant securities of an offeree company or of any securities exchange offeror (being any offeror other than an offeror in respect of which it has been announced that its offer is, or is likely to be, solely in cash) must make an Opening Position Disclosure following the commencement of the offer period and, if later, following the announcement in which any securities exchange offeror is first identified. An Opening Position Disclosure must contain details of the person's interests and short positions in, and rights to subscribe for, any relevant securities of each of (i) the offeree company and (ii) any securities exchange offeror(s). An Opening Position Disclosure by a person to whom Rule 8.3(a) applies must be made by no later than 3.30 pm (London time) on the 10th business day following the commencement of the offer period and, if appropriate, by no later than 3.30 pm (London time) on the 10th business day following the announcement in which any securities exchange offeror is first identified. Relevant persons who deal in the relevant securities of the offeree company or of a securities exchange offeror prior to the deadline for making an Opening Position Disclosure must instead make a Dealing Disclosure.

Under Rule 8.3(b) of the Code, any person who is, or becomes, interested in 1% or more of any class of relevant securities of the offeree company or of any securities exchange offeror must make a Dealing Disclosure if the person deals in any relevant securities of the offeree company or of any securities exchange offeror. A Dealing Disclosure must contain details of the dealing concerned and of the person's interests and short positions in, and rights to subscribe for, any relevant securities of each of (i) the offeree company and (ii) any securities exchange offeror(s), save to the extent that these details have previously been disclosed under Rule 8. A Dealing Disclosure by a person to whom Rule 8.3(b) applies must be made by no later than 3.30 pm (London time) on the business day following the date of the relevant dealing.

If two or more persons act together pursuant to an agreement or understanding, whether formal or informal, to acquire or control an interest in relevant securities of an offeree company or a securities exchange offeror, they will be deemed to be a single person for the purpose of Rule 8.3.Opening Position Disclosures must also be made by the offeree company and by any offeror and Dealing Disclosures must also be made by the offeree company, by any offeror and by any persons acting in concert with any of them (see Rules 8.1, 8.2 and 8.4).Details of the offeree and offeror companies in respect of whose relevant securities Opening Position Disclosures and Dealing Disclosures must be made can be found in the Disclosure Table on the Takeover Panel's website at www.thetakeoverpanel.org.uk, including details of the number of relevant securities in issue, when the offer period commenced and when any offeror was first identified. You should contact the Panel's Market Surveillance Unit on +44 (0) 20 7638 0129 if you are in any doubt as to whether you are required to make an Opening Position Disclosure or a Dealing Disclosure.

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
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Related Shares:

Gamma Communications
FTSE 100 Latest
Value10,360.32
Change28.02