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Transaction in Own Shares

31st Mar 2025 07:00

RNS Number : 7747C
IP Group PLC
31 March 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:

28/03/2025

Number of ordinary shares purchased:

700,000

Highest price paid per ordinary share (GBp):

43.30

Lowest price paid per ordinary share (GBp): 

42.40

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

42.8446

 

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 951,498,121 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:

28/03/2025

Number of ordinary shares purchased:

700,000

Volume weighted average price (pence):

42.8446

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price(GBp share)

Time of transaction (UK Time)

Trading venue

1501

42.90

 08:12:44

XLON

15

43.25

 08:19:50

XLON

8191

43.25

 08:19:50

XLON

6262

43.30

 08:21:42

XLON

2500

43.25

 08:27:19

XLON

3508

43.25

 08:27:19

XLON

7342

43.15

 08:34:13

XLON

6470

43.05

 08:34:13

XLON

6995

42.95

 08:34:15

XLON

6127

43.10

 08:45:04

XLON

17

43.05

 08:45:14

XLON

408

43.05

 08:45:14

XLON

2505

43.05

 08:45:14

XLON

5019

43.05

 08:45:40

XLON

2361

43.05

 08:47:19

XLON

139

43.05

 08:47:19

XLON

6482

43.05

 08:47:19

XLON

6968

42.95

 08:48:39

XLON

818

42.95

 08:48:39

XLON

6783

42.90

 08:50:55

XLON

5147

42.80

 09:16:44

XLON

2218

42.80

 09:16:44

XLON

5673

42.80

 09:31:08

XLON

891

42.80

 09:31:08

XLON

6033

42.75

 09:31:47

XLON

4532

42.50

 09:39:43

XLON

2490

42.50

 09:39:43

XLON

7271

42.40

 09:47:02

XLON

5659

42.45

 10:06:46

XLON

1673

42.45

 10:08:27

XLON

4997

42.45

 10:09:20

XLON

8283

42.45

 10:09:20

XLON

4929

42.55

 10:09:45

XLON

2500

42.55

 10:09:52

XLON

2207

42.55

 10:09:52

XLON

3978

42.45

 10:10:03

XLON

12000

42.65

 10:25:05

XLON

2995

42.65

 10:25:05

XLON

6708

42.65

 10:25:05

XLON

11081

42.65

 10:25:05

XLON

6925

42.65

 10:25:05

XLON

7006

42.75

 10:27:15

XLON

230

42.75

 10:27:15

XLON

6137

42.75

 10:27:15

XLON

6017

42.80

 10:43:55

XLON

6190

42.75

 10:44:40

XLON

7073

42.80

 10:59:03

XLON

7237

42.80

 11:05:31

XLON

903

42.80

 11:08:11

XLON

4690

42.80

 11:08:34

XLON

2500

42.80

 11:08:37

XLON

6734

42.85

 11:09:45

XLON

1840

42.85

 11:09:55

XLON

1425

42.85

 11:09:55

XLON

2500

42.90

 11:19:15

XLON

3647

42.90

 11:19:15

XLON

2500

42.90

 11:29:15

XLON

4313

42.90

 11:29:15

XLON

2500

42.95

 11:32:45

XLON

4655

42.95

 11:32:45

XLON

7945

42.90

 11:33:52

XLON

5878

42.90

 11:47:05

XLON

920

42.90

 11:47:05

XLON

6797

42.85

 11:57:04

XLON

6749

42.95

 12:05:07

XLON

1823

42.85

 12:09:33

XLON

1384

42.90

 12:18:53

XLON

4971

42.90

 12:18:53

XLON

7192

42.95

 12:30:35

XLON

5759

42.90

 12:30:39

XLON

1294

42.90

 12:30:39

XLON

4058

42.80

 12:37:50

XLON

3810

42.80

 12:37:50

XLON

7240

42.75

 12:39:41

XLON

6842

42.75

 12:40:53

XLON

60

42.75

 12:40:53

XLON

7178

42.70

 12:47:23

XLON

978

42.75

 12:54:27

XLON

6264

42.75

 12:54:27

XLON

7464

42.75

 12:54:27

XLON

2859

42.75

 12:59:20

XLON

4303

42.75

 12:59:20

XLON

6913

42.60

 13:03:35

XLON

1788

42.95

 13:09:27

XLON

4896

42.95

 13:09:27

XLON

2500

42.85

 13:22:01

XLON

4299

42.85

 13:22:01

XLON

6022

42.80

 13:22:01

XLON

445

42.80

 13:23:55

XLON

2809

42.80

 13:23:55

XLON

4305

42.80

 13:23:55

XLON

6793

42.90

 13:33:36

XLON

6467

42.90

 13:33:36

XLON

4054

42.80

 13:35:58

XLON

3495

42.80

 13:35:58

XLON

7145

42.85

 13:44:16

XLON

6662

42.85

 13:45:09

XLON

1898

42.95

 13:50:36

XLON

260

42.95

 13:50:36

XLON

2500

43.00

 13:51:01

XLON

4021

43.00

 13:51:01

XLON

6250

42.95

 13:51:49

XLON

3750

42.95

 13:51:49

XLON

6845

42.95

 13:53:14

XLON

749

42.95

 13:56:58

XLON

5000

42.95

 13:56:58

XLON

1293

42.95

 13:56:58

XLON

4344

43.00

 13:57:25

XLON

4344

43.00

 13:57:25

XLON

4344

43.00

 13:58:04

XLON

8685

42.90

 14:07:02

XLON

918

43.00

 14:13:24

XLON

1035

43.00

 14:13:24

XLON

588

43.00

 14:13:24

XLON

929

43.00

 14:13:24

XLON

6845

42.95

 14:13:24

XLON

9000

42.95

 14:13:24

XLON

2565

42.95

 14:13:24

XLON

6230

42.70

 14:17:36

XLON

326

42.70

 14:30:38

XLON

5954

42.70

 14:30:38

XLON

5048

42.75

 14:32:50

XLON

1514

42.75

 14:32:50

XLON

4561

42.85

 14:46:39

XLON

2171

42.85

 14:46:39

XLON

2782

42.85

 14:46:39

XLON

4215

42.85

 14:46:39

XLON

6887

42.85

 14:46:54

XLON

1504

42.85

 15:08:34

XLON

5703

42.85

 15:08:34

XLON

1948

42.80

 15:09:44

XLON

5259

42.80

 15:09:44

XLON

3696

42.80

 15:20:28

XLON

2246

42.80

 15:20:33

XLON

6740

42.80

 15:24:22

XLON

460

42.80

 15:24:22

XLON

6089

42.85

 15:32:10

XLON

5217

42.90

 15:32:10

XLON

811

42.90

 15:32:10

XLON

295

42.95

 15:37:50

XLON

7100

42.95

 15:37:50

XLON

6976

42.90

 15:42:27

XLON

6164

42.90

 15:42:27

XLON

6624

42.95

 15:55:02

XLON

5449

42.95

 15:57:02

XLON

771

42.95

 15:57:02

XLON

6220

42.90

 15:59:02

XLON

7126

42.90

 16:04:02

XLON

3839

42.95

 16:08:04

XLON

2387

42.95

 16:08:04

XLON

1250

42.95

 16:08:04

XLON

6980

42.95

 16:08:14

XLON

6538

42.90

 16:10:14

XLON

6846

42.90

 16:12:14

XLON

5548

42.95

 16:14:14

XLON

1555

42.95

 16:14:14

XLON

6936

42.85

 16:15:11

XLON

1231

42.85

 16:17:14

XLON

2582

42.85

 16:17:14

XLON

6618

42.85

 16:19:14

XLON

73

42.80

 16:21:24

XLON

2408

42.80

 16:21:36

XLON

2015

42.80

 16:23:43

XLON

3886

42.80

 16:23:43

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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