RNS Number : 3752B
Hill & Smith PLC
22 April 2026
 

 

HILL & SMITH PLC

(the 'Company')

Transaction in own shares

 

The Company announces that on 21 April 2026 it purchased for cancellation a total of 15,000 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:

21 April 2026

Total number of shares purchased:

15,000

Highest price paid per share (pence):

2,460.00

Lowest Price paid per share (pence):

2,425.00

Volume weighted average price paid per share (pence):

2,439.0770

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 78,984,651. To date 1,864,323 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

2,439.0770

15,000

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

530

2430.00

 08:57:38

00080264590TRLO0

XLON

561

2425.00

 08:57:39

00080264591TRLO0

XLON

5000

2425.00

 09:06:20

00080264858TRLO0

XLON

562

2425.00

 09:06:55

00080264935TRLO0

XLON

550

2435.00

 09:35:39

00080266869TRLO0

XLON

488

2435.00

 10:00:47

00080267916TRLO0

XLON

470

2455.00

 12:00:46

00080273069TRLO0

XLON

6

2460.00

 12:30:41

00080274103TRLO0

XLON

79

2460.00

 12:30:41

00080274104TRLO0

XLON

65

2460.00

 12:30:41

00080274105TRLO0

XLON

125

2460.00

 12:30:41

00080274106TRLO0

XLON

97

2460.00

 12:30:41

00080274107TRLO0

XLON

155

2460.00

 12:30:41

00080274108TRLO0

XLON

8

2460.00

 12:30:41

00080274109TRLO0

XLON

464

2455.00

 12:47:04

00080274627TRLO0

XLON

512

2450.00

 12:54:34

00080274859TRLO0

XLON

539

2450.00

 13:58:56

00080277391TRLO0

XLON

573

2450.00

 14:05:05

00080277702TRLO0

XLON

415

2445.00

 14:31:40

00080278542TRLO0

XLON

27

2460.00

 14:53:31

00080279833TRLO0

XLON

94

2460.00

 14:53:31

00080279834TRLO0

XLON

76

2460.00

 14:53:31

00080279835TRLO0

XLON

79

2460.00

 14:56:59

00080280097TRLO0

XLON

177

2460.00

 14:57:43

00080280135TRLO0

XLON

20

2460.00

 14:59:12

00080280212TRLO0

XLON

396

2455.00

 15:00:09

00080280284TRLO0

XLON

217

2455.00

 15:00:09

00080280283TRLO0

XLON

99

2455.00

 15:10:27

00080280821TRLO0

XLON

449

2455.00

 15:10:27

00080280820TRLO0

XLON

149

2455.00

 15:34:10

00080282361TRLO0

XLON

336

2455.00

 15:34:10

00080282360TRLO0

XLON

492

2450.00

 15:47:00

00080283338TRLO0

XLON

493

2450.00

 15:47:00

00080283337TRLO0

XLON

293

2445.00

 15:58:15

00080284084TRLO0

XLON

404

2440.00

 16:00:22

00080284287TRLO0

XLON

Enquiries:

Karen Atterbury

Group Company Secretary

0121 704 7430

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