Source - LSE Regulatory
RNS Number : 3729C
IP Group PLC
26 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:

26/03/2025

Number of ordinary shares purchased:

784,594

Highest price paid per ordinary share (GBp):

43.20

Lowest price paid per ordinary share (GBp): 

41.15

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

42.6352

 

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 953,196,585 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:

26/03/2025

Number of ordinary shares purchased:

784,594

Volume weighted average price (pence):

42.6352

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Trading venue

9650

41.75

 08:14:55

XLON

7136

41.70

 08:15:50

XLON

6927

41.60

 08:15:53

XLON

2565

41.15

 08:22:40

XLON

4174

41.15

 08:22:40

XLON

873

41.85

 08:40:25

XLON

941

41.85

 08:40:25

XLON

900

41.85

 08:40:25

XLON

6509

41.80

 08:40:25

XLON

2600

42.05

 08:42:05

XLON

4619

42.05

 08:42:05

XLON

2600

42.00

 08:42:05

XLON

3980

42.00

 08:42:05

XLON

6953

41.95

 08:44:11

XLON

4642

42.10

 08:47:20

XLON

2683

42.10

 08:47:20

XLON

699

42.25

 09:00:45

XLON

6357

42.25

 09:00:45

XLON

7366

42.35

 09:04:43

XLON

7567

42.25

 09:05:11

XLON

7178

42.40

 09:08:57

XLON

7430

42.25

 09:09:49

XLON

400

42.15

 09:14:24

XLON

7490

42.15

 09:14:24

XLON

7455

42.05

 09:14:26

XLON

1746

42.50

 09:30:21

XLON

5926

42.50

 09:30:21

XLON

7800

42.40

 09:40:22

XLON

3477

42.30

 09:40:22

XLON

2984

42.30

 09:40:22

XLON

1239

42.00

 09:40:36

XLON

5627

42.00

 09:40:36

XLON

2535

42.00

 09:49:10

XLON

4920

42.00

 09:49:10

XLON

6191

42.00

 09:58:16

XLON

7366

42.00

 09:58:16

XLON

2265

42.25

 10:15:54

XLON

4940

42.25

 10:15:54

XLON

7154

42.15

 10:25:16

XLON

7325

42.15

 10:31:29

XLON

7149

42.10

 10:31:31

XLON

7578

42.05

 10:31:35

XLON

1677

42.55

 10:44:40

XLON

3579

42.70

 10:47:56

XLON

3939

42.70

 10:47:56

XLON

6695

42.70

 10:50:39

XLON

1123

42.70

 11:02:46

XLON

6463

42.70

 11:02:46

XLON

1244

42.70

 11:04:39

XLON

5497

42.70

 11:04:39

XLON

7664

42.65

 11:08:22

XLON

6274

42.70

 11:15:06

XLON

6835

42.70

 11:24:18

XLON

2411

42.65

 11:25:13

XLON

3779

42.65

 11:25:16

XLON

6700

42.65

 11:36:49

XLON

4711

42.55

 11:42:04

XLON

2936

42.55

 11:42:04

XLON

1264

42.65

 11:53:11

XLON

5019

42.65

 11:53:11

XLON

2617

42.55

 11:54:02

XLON

27

43.00

 12:21:38

XLON

7124

43.00

 12:21:38

XLON

7185

43.00

 12:21:38

XLON

6672

43.00

 12:21:38

XLON

3954

43.00

 12:35:40

XLON

4193

43.00

 12:35:40

XLON

2878

42.90

 12:47:54

XLON

3646

42.90

 12:49:54

XLON

580

42.90

 12:50:00

XLON

1886

42.50

 12:53:37

XLON

5001

42.50

 12:53:37

XLON

7022

42.45

 12:53:39

XLON

2600

42.45

 12:53:39

XLON

4814

42.45

 12:53:39

XLON

966

43.00

 13:16:49

XLON

15

43.15

 13:20:59

XLON

6523

43.15

 13:23:49

XLON

7102

43.15

 13:23:49

XLON

9000

43.15

 13:23:49

XLON

2785

43.20

 13:23:49

XLON

7023

43.05

 13:39:03

XLON

1730

42.90

 13:42:03

XLON

1680

42.90

 13:45:03

XLON

3937

42.90

 13:45:48

XLON

2426

42.90

 13:56:54

XLON

4823

42.90

 14:00:52

XLON

3148

42.90

 14:00:52

XLON

7305

43.05

 14:11:59

XLON

2670

43.00

 14:17:51

XLON

4999

43.00

 14:17:51

XLON

6918

42.95

 14:20:05

XLON

6687

42.95

 14:20:05

XLON

1076

42.95

 14:20:05

XLON

6633

42.90

 14:27:11

XLON

6523

42.80

 14:29:32

XLON

5357

42.80

 14:29:45

XLON

247

42.80

 14:32:56

XLON

4680

42.80

 14:33:08

XLON

5080

42.80

 14:33:14

XLON

3520

42.90

 14:43:19

XLON

3625

42.90

 14:43:19

XLON

9377

42.85

 14:43:23

XLON

7236

42.75

 14:44:23

XLON

6465

42.85

 14:54:11

XLON

6587

42.90

 15:00:19

XLON

1568

43.00

 15:04:03

XLON

7216

43.20

 15:20:52

XLON

7167

43.20

 15:20:52

XLON

7212

43.20

 15:20:52

XLON

6315

43.20

 15:20:52

XLON

205

43.20

 15:20:52

XLON

7030

43.15

 15:20:52

XLON

4403

43.20

 15:20:52

XLON

2422

43.20

 15:20:52

XLON

7121

43.05

 15:20:52

XLON

6163

42.90

 15:28:06

XLON

6718

42.85

 15:28:06

XLON

7759

42.85

 15:28:06

XLON

67

42.95

 15:38:20

XLON

7117

42.95

 15:38:20

XLON

6231

42.90

 15:38:20

XLON

7209

42.95

 15:41:05

XLON

2869

42.95

 15:41:25

XLON

2056

42.90

 15:41:25

XLON

5065

42.90

 15:41:25

XLON

4403

43.00

 15:48:36

XLON

2089

43.00

 15:48:36

XLON

6492

42.95

 15:49:09

XLON

6715

42.90

 15:51:55

XLON

4633

42.95

 15:51:55

XLON

2597

42.95

 15:51:55

XLON

938

42.95

 15:51:55

XLON

837

42.95

 15:51:55

XLON

790

42.95

 15:51:55

XLON

6316

42.95

 15:56:16

XLON

3156

42.90

 15:56:16

XLON

2973

42.90

 15:56:34

XLON

319

42.90

 16:01:18

XLON

6187

42.90

 16:05:15

XLON

6900

42.90

 16:05:15

XLON

10227

42.80

 16:05:15

XLON

7697

42.75

 16:05:31

XLON

7517

42.75

 16:07:06

XLON

826

42.95

 16:14:10

XLON

945

42.95

 16:14:10

XLON

2140

42.95

 16:14:10

XLON

940

42.95

 16:14:10

XLON

6764

42.80

 16:16:45

XLON

6811

42.80

 16:16:45

XLON

4442

42.80

 16:20:15

XLON

2277

42.75

 16:20:57

XLON

2088

42.75

 16:20:57

XLON

3516

42.60

 16:35:02

XLON

12000

42.60

 16:35:02

XLON

46508

42.60

 16:35:02

XLON

1429

42.60

 16:35:02

XLON

1947

42.60

 16:35:02

XLON

5850

42.60

 16:35:02

XLON

657

42.60

 16:35:02

XLON

12687

42.60

 16:35:02

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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