Source - LSE Regulatory
RNS Number : 5869C
IP Group PLC
27 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:

27/03/2025

Number of ordinary shares purchased:

998,464

Highest price paid per ordinary share (GBp):

43.00

Lowest price paid per ordinary share (GBp): 

41.65

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

42.3923

 

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 952,198,121 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:

27/03/2025

Number of ordinary shares purchased:

998,464

Volume weighted average price (pence):

42.3923

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Trading venue

1571

43.00

 08:21:31

XLON

12195

43.00

 08:21:31

XLON

7297

42.85

 08:21:35

XLON

4298

42.85

 08:35:31

XLON

3044

42.85

 08:35:31

XLON

7128

42.80

 08:35:32

XLON

6593

42.70

 08:35:33

XLON

4948

42.65

 08:35:35

XLON

128

42.65

 08:35:35

XLON

6195

42.65

 08:42:15

XLON

2050

42.65

 08:42:15

XLON

2483

42.70

 09:15:19

XLON

3991

42.70

 09:15:57

XLON

2500

42.70

 09:15:57

XLON

3734

42.60

 09:21:13

XLON

2500

42.60

 09:21:13

XLON

2891

42.50

 09:21:18

XLON

6491

42.75

 09:26:45

XLON

7376

42.70

 09:26:45

XLON

7174

42.60

 09:30:30

XLON

7190

42.55

 09:30:31

XLON

6004

42.50

 09:49:28

XLON

6874

42.30

 09:49:30

XLON

1047

42.60

 10:00:09

XLON

1115

42.60

 10:00:09

XLON

1795

42.60

 10:00:09

XLON

12500

42.60

 10:00:09

XLON

1600

42.50

 10:01:09

XLON

462

42.55

 10:01:09

XLON

1064

42.55

 10:01:09

XLON

3479

42.55

 10:01:09

XLON

1600

42.55

 10:01:09

XLON

4799

42.50

 10:01:09

XLON

6109

42.45

 10:10:26

XLON

6739

42.70

 10:12:31

XLON

7005

42.65

 10:12:32

XLON

7443

42.55

 10:12:33

XLON

7074

42.45

 10:19:33

XLON

23681

42.80

 10:36:22

XLON

2393

42.75

 10:36:44

XLON

5000

42.75

 10:36:44

XLON

7121

42.70

 10:37:30

XLON

7372

42.65

 10:40:47

XLON

6100

42.55

 10:44:22

XLON

6533

42.55

 10:55:01

XLON

5662

42.50

 10:59:32

XLON

2254

42.50

 11:04:33

XLON

768

42.50

 11:04:33

XLON

2244

42.50

 11:04:33

XLON

1875

42.50

 11:10:43

XLON

2279

42.50

 11:10:43

XLON

5139

42.50

 11:13:49

XLON

7432

42.70

 11:19:06

XLON

4994

42.70

 11:20:16

XLON

2500

42.70

 11:20:16

XLON

7337

42.80

 11:30:19

XLON

6059

42.75

 11:50:24

XLON

1562

42.75

 11:50:24

XLON

928

42.65

 11:50:28

XLON

6243

42.65

 11:50:28

XLON

7404

42.55

 11:56:17

XLON

7059

42.45

 11:56:39

XLON

7361

42.35

 11:56:39

XLON

7174

42.25

 11:56:41

XLON

7372

42.20

 11:56:43

XLON

7281

42.00

 12:06:09

XLON

5213

41.85

 12:07:58

XLON

6902

41.85

 12:10:03

XLON

2056

41.85

 12:10:03

XLON

6558

41.65

 12:11:51

XLON

1103

41.80

 12:18:27

XLON

1700

41.80

 12:18:27

XLON

7085

41.85

 12:19:32

XLON

7287

41.95

 12:27:00

XLON

6116

41.95

 12:27:00

XLON

96

41.95

 12:27:00

XLON

4018

41.95

 12:30:45

XLON

2500

41.95

 12:30:45

XLON

6554

41.95

 12:30:45

XLON

303

42.10

 12:41:53

XLON

6815

42.10

 12:41:53

XLON

6632

42.10

 12:41:53

XLON

7229

42.20

 12:44:02

XLON

8043

42.15

 12:51:23

XLON

5948

42.10

 12:51:23

XLON

1496

42.10

 12:51:23

XLON

5536

42.00

 12:54:25

XLON

532

42.00

 12:54:25

XLON

6637

41.95

 12:54:41

XLON

6897

41.95

 13:04:07

XLON

4129

41.95

 13:08:30

XLON

2748

41.95

 13:08:30

XLON

7224

41.90

 13:15:51

XLON

4194

41.85

 13:24:00

XLON

2197

41.85

 13:24:00

XLON

6032

41.85

 13:35:52

XLON

7454

41.85

 13:35:52

XLON

432

41.85

 13:35:52

XLON

1173

41.80

 13:37:33

XLON

5949

41.80

 13:37:33

XLON

11

41.85

 13:45:06

XLON

2699

41.95

 13:48:27

XLON

4121

41.95

 13:48:27

XLON

6265

41.95

 13:48:27

XLON

2141

42.30

 13:54:23

XLON

4792

42.30

 13:54:23

XLON

6534

42.30

 13:55:23

XLON

7319

42.20

 13:55:23

XLON

6933

42.20

 13:55:23

XLON

6354

42.20

 14:00:32

XLON

6195

42.20

 14:02:05

XLON

7340

42.15

 14:03:47

XLON

6195

42.15

 14:03:47

XLON

7515

42.05

 14:04:11

XLON

7417

41.95

 14:07:38

XLON

2487

42.10

 14:17:31

XLON

900

42.35

 14:19:53

XLON

2500

42.35

 14:19:53

XLON

7500

42.35

 14:19:53

XLON

4403

42.35

 14:19:53

XLON

200

42.35

 14:19:53

XLON

6557

42.25

 14:20:51

XLON

4197

42.25

 14:20:51

XLON

9308

42.20

 14:20:52

XLON

6137

42.15

 14:31:15

XLON

248

42.05

 14:34:12

XLON

2379

42.20

 14:40:09

XLON

1100

42.20

 14:40:09

XLON

3742

42.20

 14:40:13

XLON

6031

42.15

 14:41:30

XLON

7499

42.15

 14:45:24

XLON

1117

42.15

 14:45:24

XLON

5706

42.10

 14:45:27

XLON

198

42.10

 14:49:36

XLON

6798

42.10

 14:49:36

XLON

3036

42.10

 14:49:36

XLON

689

42.00

 14:49:52

XLON

3788

42.00

 14:49:56

XLON

3634

42.00

 14:53:34

XLON

3954

42.00

 14:58:01

XLON

2163

42.00

 14:58:01

XLON

5648

42.20

 15:05:09

XLON

6096

42.25

 15:06:44

XLON

1380

42.25

 15:06:59

XLON

5951

42.25

 15:06:59

XLON

3215

42.25

 15:07:09

XLON

1027

42.25

 15:07:09

XLON

5454

42.25

 15:07:51

XLON

1340

42.25

 15:07:51

XLON

2614

42.25

 15:07:51

XLON

624

42.40

 15:10:54

XLON

6223

42.40

 15:14:23

XLON

6762

42.40

 15:14:23

XLON

4580

42.40

 15:14:23

XLON

1742

42.40

 15:14:23

XLON

2500

42.40

 15:14:23

XLON

77

42.40

 15:14:23

XLON

7314

42.45

 15:15:53

XLON

2651

42.40

 15:15:56

XLON

4704

42.40

 15:15:56

XLON

7844

42.30

 15:20:29

XLON

5327

42.30

 15:22:53

XLON

53

42.30

 15:22:53

XLON

5304

42.30

 15:29:07

XLON

2791

42.30

 15:29:07

XLON

5466

42.35

 15:30:10

XLON

2464

42.35

 15:30:10

XLON

2394

42.35

 15:30:10

XLON

4782

42.35

 15:30:10

XLON

7047

42.35

 15:30:10

XLON

9049

42.30

 15:30:44

XLON

6739

42.25

 15:30:44

XLON

1477

42.15

 15:33:31

XLON

2256

42.50

 15:40:04

XLON

2500

42.50

 15:40:04

XLON

5000

42.50

 15:40:04

XLON

7500

42.50

 15:40:04

XLON

2500

42.50

 15:40:04

XLON

1182

42.50

 15:40:04

XLON

1158

42.50

 15:40:04

XLON

4623

42.50

 15:40:04

XLON

1710

42.50

 15:40:19

XLON

1112

42.50

 15:40:19

XLON

1148

42.50

 15:40:19

XLON

6241

42.45

 15:40:59

XLON

10

42.55

 15:46:12

XLON

2500

42.55

 15:46:12

XLON

2500

42.55

 15:46:12

XLON

2183

42.55

 15:46:12

XLON

5353

42.55

 15:47:57

XLON

3208

42.55

 15:47:57

XLON

7963

42.55

 15:47:57

XLON

6603

42.55

 15:50:00

XLON

1991

42.55

 15:50:00

XLON

4217

42.60

 15:52:14

XLON

2500

42.60

 15:52:14

XLON

6202

42.60

 15:54:14

XLON

1524

42.55

 15:55:07

XLON

5000

42.55

 15:55:07

XLON

2564

42.65

 15:57:08

XLON

3757

42.65

 15:57:08

XLON

6969

42.65

 15:57:08

XLON

2379

42.70

 15:58:24

XLON

1060

42.70

 15:58:24

XLON

1087

42.70

 15:58:24

XLON

1211

42.70

 15:58:24

XLON

1166

42.70

 15:58:25

XLON

1065

42.70

 15:58:25

XLON

5

42.70

 15:58:59

XLON

5616

42.70

 15:58:59

XLON

445

42.70

 15:58:59

XLON

2012

42.70

 15:58:59

XLON

3531

42.75

 16:00:24

XLON

3182

42.75

 16:00:24

XLON

6047

42.70

 16:01:04

XLON

6047

42.75

 16:01:04

XLON

6814

42.70

 16:02:04

XLON

1000

42.70

 16:02:04

XLON

5012

42.70

 16:02:04

XLON

6463

42.70

 16:03:04

XLON

7061

42.75

 16:05:08

XLON

6215

42.75

 16:05:09

XLON

7032

42.75

 16:05:09

XLON

1597

42.70

 16:06:01

XLON

5813

42.70

 16:09:27

XLON

6361

42.70

 16:09:27

XLON

680

42.70

 16:09:27

XLON

2500

42.70

 16:09:27

XLON

2500

42.70

 16:09:27

XLON

986

42.70

 16:09:27

XLON

461

42.70

 16:09:27

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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