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RNS Number : 2626C
Hill & Smith PLC
07 October 2025
 

HILL & SMITH PLC

(the 'Company')

 

Transaction in own shares

 

The Company announces that on 6 October 2025 it purchased for cancellation a total of 12,000 ordinary shares of 25 pence each from Numis Securities Limited ('Deutsche Numis') as part of its £100m share buyback programme announced on 13 August 2025 (the 'Programme'). All shares were purchased as an 'on exchange' transaction subject to the rules of the London Stock Exchange.

 

Date of purchase:

6 October 2025

Total number of shares purchased:

12,000

Highest price paid per share (pence):

2,110.00

Lowest Price paid per share (pence):

2,090.00

Volume weighted average price paid per share (pence):

2,104.7817

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 80,121,553. To date 386,816 ordinary shares in aggregate have been purchased for cancellation in accordance with the Programme.

 

The detailed breakdown of individual trades made by Deutsche Numis as principal in connection with the above purchases as part of the Programme is set out below:

 

Aggregate Information

 

Trading Venue

Weighted average price

(pence per share)

Aggregate Volume

XLON

2,104.7817

12,000

 

Transaction Details

 

Issuer Name

Hill & Smith PLC

ISIN

GB0004270301

Intermediary name

Numis Securities Limited

Intermediary code

NUSEGB21XXX

Time zone

GMT 1

Currency

GBP

 

Individual Transactions

 

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Transaction reference number

Trading venue

90

2090.00

 08:16:43

00077304558TRLO0

XLON

259

2090.00

 08:40:41

00077305369TRLO0

XLON

136

2090.00

 08:40:41

00077305370TRLO0

XLON

206

2090.00

 08:40:41

00077305371TRLO0

XLON

81

2090.00

 08:40:41

00077305372TRLO0

XLON

148

2090.00

 08:40:41

00077305373TRLO0

XLON

361

2090.00

 09:38:05

00077307741TRLO0

XLON

404

2090.00

 09:38:05

00077307742TRLO0

XLON

429

2105.00

 10:38:51

00077309606TRLO0

XLON

47

2110.00

 10:43:23

00077309730TRLO0

XLON

52

2110.00

 10:43:23

00077309731TRLO0

XLON

184

2110.00

 10:43:23

00077309732TRLO0

XLON

369

2105.00

 10:46:05

00077309805TRLO0

XLON

440

2100.00

 10:54:23

00077309920TRLO0

XLON

403

2100.00

 10:59:39

00077310041TRLO0

XLON

385

2105.00

 12:15:31

00077311237TRLO0

XLON

447

2110.00

 13:44:44

00077313376TRLO0

XLON

415

2110.00

 13:44:44

00077313377TRLO0

XLON

369

2110.00

 13:44:44

00077313379TRLO0

XLON

432

2110.00

 14:34:44

00077314550TRLO0

XLON

377

2110.00

 14:34:44

00077314551TRLO0

XLON

411

2110.00

 14:34:44

00077314552TRLO0

XLON

365

2110.00

 14:34:44

00077314553TRLO0

XLON

374

2110.00

 14:34:44

00077314554TRLO0

XLON

437

2110.00

 14:41:12

00077314873TRLO0

XLON

4

2105.00

 14:45:39

00077315095TRLO0

XLON

387

2105.00

 14:45:44

00077315098TRLO0

XLON

26

2105.00

 14:46:13

00077315130TRLO0

XLON

4

2105.00

 14:46:13

00077315131TRLO0

XLON

354

2105.00

 14:50:43

00077315267TRLO0

XLON

430

2095.00

 14:57:22

00077315550TRLO0

XLON

850

2105.00

 15:38:27

00077318201TRLO0

XLON

285

2110.00

 16:01:05

00077319262TRLO0

XLON

1007

2110.00

 16:01:05

00077319263TRLO0

XLON

415

2110.00

 16:07:05

00077319576TRLO0

XLON

424

2110.00

 16:16:13

00077320014TRLO0

XLON

193

2110.00

 16:21:51

00077320367TRLO0

XLON

 

Enquiries:

 

Karen Atterbury

Group Company Secretary

0121 704 7430

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