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Transaction in Own Shares

8th Apr 2025 07:00

RNS Number : 0031E
IP Group PLC
08 April 2025
 

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:

07/04/2025

Number of ordinary shares purchased:

1,000,000

Highest price paid per ordinary share (GBp):

36.90

Lowest price paid per ordinary share (GBp): 

34.50

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

35.4332

 

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 945,348,121 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:

07/04/2025

Number of ordinary shares purchased:

1,000,000

Volume weighted average price (pence):

35.4332

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price(GBp share)

Time of transaction (UK Time)

Trading venue

434

34.95

 08:04:44

XLON

6449

34.95

 08:04:44

XLON

6386

34.90

 08:06:22

XLON

1353

34.90

 08:06:22

XLON

7736

35.00

 08:26:41

XLON

120

34.70

 08:26:51

XLON

7476

34.70

 08:31:27

XLON

6873

34.50

 08:35:57

XLON

4063

34.80

 08:44:57

XLON

6713

34.95

 08:52:14

XLON

9035

34.70

 08:52:15

XLON

7471

34.90

 09:01:44

XLON

1994

34.70

 09:01:47

XLON

5409

34.70

 09:01:47

XLON

6850

34.90

 09:12:01

XLON

2593

34.70

 09:37:00

XLON

7408

35.40

 09:54:40

XLON

7909

35.40

 09:54:40

XLON

7881

35.30

 09:54:53

XLON

6931

35.05

 10:06:08

XLON

7041

35.15

 10:14:54

XLON

8057

35.15

 10:14:54

XLON

5400

35.15

 10:14:54

XLON

815

35.15

 10:14:54

XLON

1793

35.15

 10:14:54

XLON

36348

35.00

 10:18:51

XLON

8608

34.80

 10:18:52

XLON

1711

34.90

 10:26:00

XLON

8120

35.05

 10:27:45

XLON

7570

35.00

 10:27:45

XLON

804

34.90

 10:27:59

XLON

6965

34.90

 10:27:59

XLON

6675

35.00

 10:53:51

XLON

4200

34.95

 10:53:52

XLON

3874

34.95

 10:53:52

XLON

7964

34.90

 10:57:03

XLON

7427

35.00

 11:02:11

XLON

3370

34.95

 11:02:11

XLON

5603

34.95

 11:02:11

XLON

4854

34.95

 11:02:12

XLON

2326

34.95

 11:03:03

XLON

7092

35.15

 11:20:12

XLON

15101

34.98

 11:25:09

XLON

6948

35.15

 11:28:18

XLON

512

35.20

 11:28:18

XLON

1024

35.20

 11:28:18

XLON

6049

35.20

 11:28:18

XLON

8053

35.75

 11:53:02

XLON

6866

35.65

 11:54:06

XLON

7815

35.65

 11:58:53

XLON

6672

35.95

 12:11:10

XLON

8183

35.95

 12:11:10

XLON

7739

35.95

 12:11:10

XLON

7472

35.75

 12:18:10

XLON

6714

35.75

 12:25:54

XLON

1082

35.75

 12:25:54

XLON

1917

35.85

 12:29:15

XLON

5380

35.85

 12:29:15

XLON

7685

35.80

 12:30:00

XLON

4179

35.70

 12:31:16

XLON

2048

35.70

 12:33:16

XLON

3066

35.70

 12:33:16

XLON

5476

35.70

 12:33:16

XLON

1388

35.60

 12:35:13

XLON

5404

35.60

 12:35:13

XLON

1256

35.55

 12:37:20

XLON

1828

35.60

 12:37:25

XLON

3532

35.60

 12:37:25

XLON

6838

35.55

 12:39:10

XLON

497

35.55

 12:39:10

XLON

7492

35.60

 12:41:30

XLON

211

35.60

 12:41:30

XLON

26506

35.60

 12:41:30

XLON

883

35.60

 12:41:30

XLON

4457

35.50

 12:41:33

XLON

5473

35.50

 12:41:51

XLON

378

35.45

 12:45:30

XLON

6967

35.45

 12:45:30

XLON

7557

35.45

 12:45:30

XLON

7767

35.35

 13:02:17

XLON

7485

35.40

 13:05:06

XLON

8091

35.45

 13:17:57

XLON

7243

35.40

 13:20:44

XLON

228

35.40

 13:20:44

XLON

2

35.40

 13:20:44

XLON

4000

35.55

 13:31:22

XLON

2100

35.55

 13:31:23

XLON

1000

35.55

 13:31:38

XLON

7955

35.55

 13:34:38

XLON

3039

35.50

 13:35:05

XLON

4061

35.50

 13:35:05

XLON

2790

35.50

 13:35:05

XLON

4710

35.50

 13:35:05

XLON

6725

35.85

 13:56:23

XLON

4000

35.80

 13:56:39

XLON

4000

35.80

 13:56:39

XLON

464

35.80

 13:56:39

XLON

7698

35.80

 13:56:39

XLON

7180

35.70

 14:01:05

XLON

8005

35.70

 14:01:05

XLON

7846

35.55

 14:18:55

XLON

8975

35.50

 14:24:18

XLON

8883

35.35

 14:30:22

XLON

7810

35.45

 14:34:11

XLON

6765

35.45

 14:34:11

XLON

7824

35.50

 14:34:11

XLON

7151

35.40

 14:34:11

XLON

7564

35.30

 14:36:18

XLON

6995

35.00

 14:38:58

XLON

8181

35.00

 14:38:58

XLON

7322

34.85

 14:42:07

XLON

7433

34.85

 14:42:07

XLON

7073

35.30

 14:49:15

XLON

7167

35.30

 14:49:53

XLON

7264

35.70

 14:55:20

XLON

8000

35.65

 14:55:20

XLON

1334

35.65

 14:55:20

XLON

10031

35.55

 14:55:36

XLON

6757

35.65

 14:59:59

XLON

7348

35.65

 15:01:45

XLON

6595

35.60

 15:03:43

XLON

7210

35.60

 15:03:43

XLON

1290

35.55

 15:03:43

XLON

10

36.60

 15:12:33

XLON

12007

36.90

 15:18:25

XLON

7309

36.90

 15:18:25

XLON

7700

36.90

 15:18:25

XLON

7866

36.90

 15:18:25

XLON

7295

36.90

 15:18:25

XLON

2650

36.85

 15:19:35

XLON

10085

36.85

 15:19:35

XLON

6624

36.75

 15:21:07

XLON

7197

36.30

 15:24:31

XLON

7032

36.30

 15:24:31

XLON

7395

35.75

 15:28:47

XLON

6704

35.75

 15:28:47

XLON

7882

35.55

 15:35:30

XLON

3473

35.40

 15:36:00

XLON

3215

35.40

 15:36:13

XLON

7994

35.35

 15:36:20

XLON

3638

35.00

 15:40:40

XLON

3546

35.00

 15:40:40

XLON

7678

34.90

 15:43:09

XLON

211

34.90

 15:43:09

XLON

177

34.90

 15:43:09

XLON

4703

35.15

 15:48:34

XLON

2935

35.15

 15:48:34

XLON

7537

35.10

 15:49:20

XLON

7497

35.10

 15:49:20

XLON

7519

35.10

 15:49:20

XLON

7926

35.65

 15:58:07

XLON

7353

35.60

 15:58:13

XLON

7970

35.60

 15:58:13

XLON

4247

35.60

 16:03:12

XLON

4991

35.65

 16:03:54

XLON

2050

35.65

 16:03:54

XLON

6634

35.60

 16:04:27

XLON

7563

35.60

 16:04:27

XLON

3538

35.40

 16:09:19

XLON

3822

35.40

 16:10:08

XLON

3302

35.40

 16:10:54

XLON

4469

35.40

 16:10:54

XLON

7555

35.35

 16:12:21

XLON

6691

35.20

 16:14:35

XLON

7192

35.20

 16:14:35

XLON

7889

34.85

 16:17:20

XLON

6644

34.80

 16:17:22

XLON

4000

35.20

 16:21:21

XLON

3041

35.20

 16:21:21

XLON

89

35.15

 16:22:25

XLON

4303

35.15

 16:22:25

XLON

4000

35.15

 16:23:17

XLON

3444

35.15

 16:23:17

XLON

3698

35.15

 16:23:17

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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