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Transaction in Own Shares

15th May 2025 07:00

RNS Number : 7151I
International Cons Airlines Group
15 May 2025
 

Transaction in Own Shares

International Consolidated Airlines Group, S.A. (the "Company") announces that on 14 May 2025 it purchased 113,164 ordinary shares of €0.10 each in the capital of the Company. All the shares purchased will be held as treasury shares.

 

Number of shares purchased

Trading venue

Lowest price paid

Highest price paid

99,005

LON

£3.1490

£3.1600

14,159

MAD

€3.7300

€3.7300

 

The purchases were made pursuant to the share repurchase programme announced on 08 February 2025.

Following the purchase, the Company holds 247,645,302 treasury shares and the Company's issued share capital (excluding shares held as treasury shares) consists of 4,723,830,708 shares.

The Company's issued share capital is 4,971,476,010 shares. This figure 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, the Company to the Spanish National Securities Market Commission (CNMV).

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), or, as the case may be, under any equivalent law or regulation applicable in the United Kingdom, a full breakdown of the individual trades made by Morgan Stanley Europe SE (or any of its delegates) on behalf of the Company (acting as riskless principal and not as agent) as part of the share repurchase programme is attached to this announcement.

 

 

 

IAG Shareholder Services

 

15 May 2025

 

LEI: 959800TZHQRUSH1ESL13

 

 

Schedule of Purchases

Shares purchased:

113,164

Date of purchases:

14 May 2025

Investment firm:

Morgan Stanley Europe SE

 

 

Individual transactions:

Number of Shares

Price Per Share

Currency

Trading Venue

Date of Transaction

Time of Transaction

6,095

3.1570

GBP

XLON

14/05/2025

10:18:58

6,297

3.1560

GBP

XLON

14/05/2025

10:18:59

5,173

3.1590

GBP

XLON

14/05/2025

10:25:07

4,978

3.1530

GBP

XLON

14/05/2025

10:26:46

4,364

3.1560

GBP

XLON

14/05/2025

10:28:04

4,205

3.1570

GBP

XLON

14/05/2025

10:28:04

4,302

3.1580

GBP

XLON

14/05/2025

10:28:04

4,464

3.1550

GBP

XLON

14/05/2025

10:31:39

4,408

3.1560

GBP

XLON

14/05/2025

10:31:39

4,806

3.1490

GBP

XLON

14/05/2025

10:35:24

4,762

3.1570

GBP

XLON

14/05/2025

10:36:43

3,502

3.1580

GBP

XLON

14/05/2025

10:36:43

2,586

3.1500

GBP

XLON

14/05/2025

10:37:06

2,585

3.1550

GBP

XLON

14/05/2025

10:38:59

2,666

3.1590

GBP

XLON

14/05/2025

10:52:13

2,601

3.1600

GBP

XLON

14/05/2025

10:52:13

2,503

3.1590

GBP

XLON

14/05/2025

10:54:04

3,815

3.1580

GBP

XLON

14/05/2025

11:57:30

24,893

3.1561

GBP

OTC

14/05/2025

16:27:23

10,599

3.7300

EUR

XMAD

14/05/2025

10:31:39

3,560

3.7300

EUR

OTC

14/05/2025

16:27:36

 

 

 

Venue

 

Volume-weighted average price

Aggregate volume

LON

 

£3.1561

99,005

MAD

 

€3.7300

14,159

 

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END
 
 
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