RNS Number : 4367U
Hill & Smith PLC
26 February 2026
 

 

 

HILL & SMITH PLC

(the 'Company')

Transaction in own shares

 

The Company announces that on 25 February 2026 it purchased for cancellation a total of 7,541 ordinary shares of 25 pence each from Deutsche Bank AG, London Branch (trading for these purposes as 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:

25 February 2026

Total number of shares purchased:

7,541

Highest price paid per share (pence):

2,385.00

Lowest Price paid per share (pence):

2,375.00

Volume weighted average price paid per share (pence):

2,384.4603

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 79,439,095. To date 1,363,737 ordinary shares in aggregate have been purchased for cancellation in accordance with the Programme.

The detailed breakdown of individual trades made by Deutsche Bank AG, London Branch (trading for these purposes as 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

2,384.4603

7,541

Transaction Details

Issuer Name

Hill & Smith PLC

ISIN

GB0004270301

Intermediary name

Deutsche Bank AG

Intermediary code

DBNUGB2L

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

407

2375.00

 08:34:07

00079366322TRLO0

XLON

138

2385.00

 11:59:59

00079373478TRLO0

XLON

41

2385.00

 14:14:40

00079379118TRLO0

XLON

82

2385.00

 14:14:40

00079379119TRLO0

XLON

162

2385.00

 14:14:40

00079379120TRLO0

XLON

433

2385.00

 14:14:40

00079379121TRLO0

XLON

422

2385.00

 14:14:40

00079379122TRLO0

XLON

385

2385.00

 14:14:40

00079379123TRLO0

XLON

383

2385.00

 14:14:40

00079379124TRLO0

XLON

419

2385.00

 14:14:40

00079379125TRLO0

XLON

448

2385.00

 14:14:40

00079379126TRLO0

XLON

399

2385.00

 14:14:40

00079379127TRLO0

XLON

416

2385.00

 14:14:40

00079379128TRLO0

XLON

454

2385.00

 14:14:40

00079379129TRLO0

XLON

385

2385.00

 14:14:40

00079379130TRLO0

XLON

458

2385.00

 14:14:40

00079379131TRLO0

XLON

447

2385.00

 14:14:40

00079379132TRLO0

XLON

380

2385.00

 14:14:40

00079379133TRLO0

XLON

437

2385.00

 14:14:40

00079379134TRLO0

XLON

423

2385.00

 14:14:40

00079379135TRLO0

XLON

376

2385.00

 14:14:40

00079379136TRLO0

XLON

43

2385.00

 14:31:00

00079379928TRLO0

XLON

3

2385.00

 14:31:00

00079379929TRLO0

XLON

Enquiries:

Karen Atterbury

Group Company Secretary

0121 704 7430

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