RNS Number : 8353L
Hill & Smith PLC
17 December 2025
 

HILL & SMITH PLC

(the 'Company')

 

Transaction in own shares

 

The Company announces that on 16 December 2025 it purchased for cancellation a total of 12,000 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:

16 December 2025

Total number of shares purchased:

12,000

Highest price paid per share (pence):

2,195.00

Lowest Price paid per share (pence):

2,175.00

Volume weighted average price paid per share (pence):

2,189.0883

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 79,596,783. To date 923,494 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

2,189.0883

12,000

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

382

2190.00

 09:03:30

00078395010TRLO0

XLON

563

2190.00

 09:03:30

00078395011TRLO0

XLON

185

2190.00

 09:03:30

00078395012TRLO0

XLON

547

2195.00

 10:56:01

00078396909TRLO0

XLON

584

2195.00

 10:56:01

00078396910TRLO0

XLON

519

2195.00

 10:56:01

00078396911TRLO0

XLON

137

2195.00

 10:56:01

00078396912TRLO0

XLON

347

2195.00

 10:56:01

00078396913TRLO0

XLON

478

2195.00

 11:16:33

00078397438TRLO0

XLON

484

2195.00

 11:16:33

00078397439TRLO0

XLON

483

2195.00

 12:59:21

00078399252TRLO0

XLON

240

2195.00

 12:59:21

00078399253TRLO0

XLON

283

2195.00

 12:59:21

00078399254TRLO0

XLON

516

2195.00

 13:30:00

00078399810TRLO0

XLON

485

2195.00

 13:30:00

00078399811TRLO0

XLON

586

2190.00

 13:48:32

00078400175TRLO0

XLON

532

2185.00

 14:10:32

00078400490TRLO0

XLON

501

2195.00

 14:53:02

00078401558TRLO0

XLON

517

2190.00

 15:00:53

00078401707TRLO0

XLON

542

2190.00

 15:00:53

00078401708TRLO0

XLON

500

2185.00

 15:12:23

00078402094TRLO0

XLON

476

2180.00

 15:28:53

00078402722TRLO0

XLON

531

2180.00

 15:28:53

00078402723TRLO0

XLON

548

2175.00

 15:38:50

00078403008TRLO0

XLON

3

2175.00

 16:09:50

00078404568TRLO0

XLON

508

2175.00

 16:09:50

00078404569TRLO0

XLON

79

2175.00

 16:20:18

00078405204TRLO0

XLON

97

2175.00

 16:20:18

00078405205TRLO0

XLON

98

2175.00

 16:20:18

00078405206TRLO0

XLON

139

2175.00

 16:20:18

00078405207TRLO0

XLON

110

2175.00

 16:22:42

00078405319TRLO0

XLON

Enquiries:

Karen Atterbury

Group Company Secretary

0121 704 7430

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