Transaction in Own Shares

IP Group PLC
20 November 2024
 

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 07 October 2024 (the Buyback Programme).

                       

Date of purchase:

19/11/2024

Number of ordinary shares purchased:

600,000

Highest price paid per ordinary share (GBp):

42.65

Lowest price paid per ordinary share (GBp): 

40.75

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

41.9852

 

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 988,597,871 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:

19/11/2024

Number of ordinary shares purchased:

600,000

Volume weighted average price (pence):

41.9852

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Trading venue

6993

42.05

 08:27:31

XLON

6575

42.10

 08:35:54

XLON

7187

41.90

 08:41:01

XLON

2014

41.75

 08:42:02

XLON

2280

41.75

 08:44:08

XLON

2357

41.75

 08:44:08

XLON

6775

41.60

 09:11:47

XLON

6607

41.10

 09:18:31

XLON

715

41.00

 09:19:31

XLON

3400

41.00

 09:19:31

XLON

3400

41.00

 09:19:31

XLON

111

41.00

 09:19:31

XLON

2200

41.00

 09:19:31

XLON

1120

41.00

 09:19:31

XLON

6361

41.15

 09:24:19

XLON

6359

40.90

 09:28:55

XLON

7509

40.80

 09:40:38

XLON

222

40.75

 09:56:37

XLON

3340

40.75

 09:56:37

XLON

3340

40.75

 09:56:37

XLON

6414

41.05

 10:24:58

XLON

7393

41.05

 10:24:58

XLON

6523

41.00

 10:24:59

XLON

1955

41.10

 11:10:23

XLON

4571

41.10

 11:10:23

XLON

7132

41.00

 11:15:52

XLON

7216

40.90

 11:18:06

XLON

7686

41.00

 11:30:54

XLON

7753

41.10

 11:35:12

XLON

221

41.00

 11:40:25

XLON

220

41.00

 11:40:25

XLON

2438

41.00

 11:40:25

XLON

867

41.30

 11:51:02

XLON

7575

41.30

 11:51:02

XLON

7361

41.30

 11:52:38

XLON

4884

41.30

 11:59:53

XLON

2470

41.55

 12:17:15

XLON

627

41.55

 12:17:15

XLON

1984

41.55

 12:17:15

XLON

4428

41.55

 12:17:15

XLON

7

41.50

 12:19:09

XLON

1421

41.50

 12:19:09

XLON

5819

41.50

 12:19:09

XLON

386

41.50

 12:19:09

XLON

823

41.50

 12:19:09

XLON

5872

41.85

 13:01:43

XLON

653

41.85

 13:01:43

XLON

13075

41.85

 13:01:48

XLON

3985

42.10

 13:43:30

XLON

507

42.10

 13:43:30

XLON

8918

42.10

 13:43:30

XLON

8918

42.10

 13:43:30

XLON

1407

42.10

 13:46:06

XLON

5462

42.10

 13:46:06

XLON

9400

42.10

 13:46:06

XLON

4181

42.10

 13:46:06

XLON

1734

42.00

 13:49:23

XLON

5947

42.00

 13:49:23

XLON

4359

41.90

 13:53:51

XLON

3794

41.90

 13:53:51

XLON

7474

41.80

 13:59:32

XLON

548

41.80

 13:59:32

XLON

7260

42.15

 14:16:43

XLON

445

42.15

 14:16:50

XLON

1975

42.10

 14:21:05

XLON

6857

42.10

 14:21:05

XLON

2085

42.00

 14:27:06

XLON

6344

42.15

 14:43:03

XLON

1240

42.10

 14:43:03

XLON

5067

42.10

 14:43:03

XLON

8743

42.00

 14:47:24

XLON

1332

42.00

 14:47:24

XLON

1351

42.00

 14:47:24

XLON

1350

42.00

 14:47:24

XLON

19

42.00

 14:47:24

XLON

5856

42.00

 14:47:24

XLON

6418

41.90

 14:50:13

XLON

87

42.00

 14:59:08

XLON

531

42.00

 14:59:08

XLON

577

42.00

 14:59:08

XLON

141

42.00

 15:00:00

XLON

6789

42.00

 15:02:28

XLON

342

42.00

 15:02:28

XLON

342

42.00

 15:02:28

XLON

145

42.00

 15:02:38

XLON

6966

42.10

 15:05:17

XLON

560

42.10

 15:06:17

XLON

1120

42.10

 15:06:17

XLON

4532

42.15

 15:06:54

XLON

6876

42.25

 15:11:31

XLON

7200

42.20

 15:11:31

XLON

5100

42.20

 15:15:22

XLON

1577

42.20

 15:15:22

XLON

190

42.20

 15:22:02

XLON

6515

42.20

 15:22:02

XLON

6623

42.20

 15:22:02

XLON

6800

42.35

 15:28:41

XLON

817

42.35

 15:28:41

XLON

6343

42.30

 15:28:41

XLON

5

42.35

 15:28:41

XLON

1233

42.50

 15:32:58

XLON

5944

42.50

 15:32:58

XLON

6749

42.40

 15:33:01

XLON

8945

42.35

 15:33:03

XLON

2294

42.30

 15:33:08

XLON

5529

42.30

 15:33:08

XLON

1599

42.30

 15:33:08

XLON

6844

42.35

 15:40:46

XLON

190

42.35

 15:40:46

XLON

6140

42.35

 15:40:46

XLON

185

42.35

 15:41:29

XLON

3400

42.35

 15:44:22

XLON

190

42.35

 15:44:22

XLON

3878

42.35

 15:44:22

XLON

10541

42.30

 15:44:22

XLON

1920

42.60

 15:51:29

XLON

608

42.60

 15:51:29

XLON

622

42.60

 15:51:29

XLON

7016

42.55

 15:52:03

XLON

190

42.55

 15:53:49

XLON

2275

42.55

 15:54:12

XLON

5188

42.55

 15:54:12

XLON

3722

42.50

 15:54:12

XLON

4499

42.50

 15:54:12

XLON

8405

42.55

 16:00:39

XLON

2850

42.55

 16:00:39

XLON

7211

42.55

 16:00:39

XLON

1155

42.55

 16:00:39

XLON

210

42.55

 16:02:09

XLON

508

42.55

 16:02:09

XLON

3321

42.50

 16:02:10

XLON

2032

42.50

 16:02:10

XLON

190

42.50

 16:02:11

XLON

1034

42.50

 16:02:11

XLON

6399

42.50

 16:02:11

XLON

210

42.50

 16:06:39

XLON

583

42.50

 16:06:39

XLON

190

42.50

 16:09:48

XLON

6457

42.50

 16:09:48

XLON

5800

42.50

 16:09:48

XLON

9158

42.60

 16:15:31

XLON

2110

42.60

 16:16:04

XLON

2986

42.60

 16:16:04

XLON

1319

42.60

 16:16:04

XLON

7698

42.65

 16:18:57

XLON

9822

42.65

 16:18:57

XLON

9300

42.65

 16:18:57

XLON

1611

42.65

 16:18:57

XLON

6351

42.65

 16:18:57

XLON

340

42.65

 16:19:57

XLON

2073

42.65

 16:19:57

XLON

535

42.65

 16:20:26

XLON

1343

42.65

 16:20:30

XLON

625

42.65

 16:20:30

XLON

6764

42.65

 16:21:32

XLON

7031

42.65

 16:22:09

XLON

587

42.60

 16:23:05

XLON

4298

42.60

 16:23:05

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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