RNS Number : 7381B
Hill & Smith PLC
24 April 2026
 

 

HILL & SMITH PLC

(the 'Company')

Transaction in own shares

 

The Company announces that on 23 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:

23 April 2026

Total number of shares purchased:

15,000

Highest price paid per share (pence):

2,445.00

Lowest Price paid per share (pence):

2,400.00

Volume weighted average price paid per share (pence):

2,426.7730

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 78,954,651. To date 1,894,323 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

2,426.7730

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

136

2445.00

 08:49:56

00080317085TRLO0

XLON

55

2445.00

 08:49:56

00080317086TRLO0

XLON

707

2445.00

 08:51:30

00080317162TRLO0

XLON

564

2440.00

 08:56:25

00080317353TRLO0

XLON

15

2440.00

 09:02:30

00080317704TRLO0

XLON

522

2440.00

 09:02:30

00080317705TRLO0

XLON

505

2435.00

 09:30:05

00080319431TRLO0

XLON

131

2440.00

 09:30:05

00080319432TRLO0

XLON

16

2440.00

 09:30:05

00080319433TRLO0

XLON

39

2440.00

 09:30:05

00080319434TRLO0

XLON

528

2435.00

 09:33:03

00080319533TRLO0

XLON

36

2435.00

 09:33:03

00080319534TRLO0

XLON

524

2430.00

 10:04:36

00080320796TRLO0

XLON

503

2425.00

 10:44:22

00080322270TRLO0

XLON

711

2425.00

 12:07:01

00080325279TRLO0

XLON

462

2425.00

 12:14:15

00080325422TRLO0

XLON

479

2425.00

 13:13:17

00080327598TRLO0

XLON

509

2425.00

 13:21:43

00080327821TRLO0

XLON

6000

2425.00

 13:32:21

00080328132TRLO0

XLON

551

2410.00

 13:36:06

00080328219TRLO0

XLON

460

2400.00

 13:48:28

00080328560TRLO0

XLON

476

2420.00

 14:08:01

00080329097TRLO0

XLON

482

2425.00

 15:20:22

00080332369TRLO0

XLON

283

2420.00

 16:02:01

00080334305TRLO0

XLON

178

2420.00

 16:02:02

00080334307TRLO0

XLON

17

2420.00

 16:02:02

00080334308TRLO0

XLON

111

2430.00

 16:19:04

00080335339TRLO0

XLON

Enquiries:

Karen Atterbury

Group Company Secretary

0121 704 7430

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