RNS Number : 0893L
Liontrust Asset Management PLC
11 December 2025
 

LEI: 549300XVXU6S7PLCL855

11 December 2025

Liontrust Asset Management Plc

("Liontrust" or the "Company")

Transaction in Own Shares

Liontrust, the independent fund management group, announces that in accordance with the Company's Share Buyback programme, as outlined in its announcement on 27 November 2025, that it has purchased 22,127 of its ordinary shares ("Shares") at a price of 247.78 pence per Share. The purchased Shares will be cancelled.

Aggregated information

Date of purchase

10 December 2025

Number of Shares purchased

22,127

Highest price paid per Share

251.00p

Lowest price paid per Share

246.00p

Volume weighted average price paid

247.78p

 

Transaction details

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation) (which forms part of domestic UK law pursuant to the European Union (Withdrawal) Act 2018), a detailed breakdown of individual trades is available below:

Shares

Price

Time

Venue

128

251

09:06:26

XLON

230

251

09:06:26

XLON

100

251

09:15:18

XLON

238

251

09:15:18

XLON

1617

251

09:16:03

XLON

232

250

09:38:32

XLON

200

250

09:46:24

XLON

40

250

09:46:24

XLON

655

249

09:16:03

XLON

253

249

09:16:03

XLON

210

248.5

09:16:03

XLON

60

248.5

09:16:14

XLON

72

248.5

09:19:11

XLON

494

248.5

09:48:46

XLON

434

248.5

10:50:17

XLON

354

248

09:48:46

XLON

99

248

11:29:24

XLON

258

248

11:29:24

XLON

100

248

11:32:27

XLON

216

248

11:32:27

XLON

100

248

15:34:40

XLON

376

248

15:34:40

XLON

204

248

15:34:40

XLON

237

248

16:05:38

XLON

471

248

16:05:38

XLON

147

248

16:05:38

XLON

286

248

16:06:14

XLON

295

248

16:06:14

XLON

294

248

16:06:14

XLON

521

248

16:06:15

XLON

345

248

16:06:15

XLON

492

248

16:06:21

XLON

519

247.5

12:31:43

XLON

362

247.5

12:31:43

XLON

318

247.5

12:45:22

XLON

154

247.5

15:34:03

XLON

255

247.5

15:34:03

XLON

12

247

09:48:50

XLON

379

247

11:18:37

XLON

33

247

13:22:44

XLON

199

247

13:22:44

XLON

487

247

14:44:21

XLON

254

247

14:47:15

XLON

11

247

14:47:15

XLON

39

247

15:33:32

XLON

352

247

15:33:32

XLON

30

247

15:34:41

XLON

467

247

15:34:41

XLON

475

247

15:34:41

XLON

407

247

15:35:11

XLON

2270

247

16:06:44

XLON

264

247

16:06:44

XLON

417

247

16:06:44

XLON

321

246.5

10:13:05

XLON

399

246.5

12:02:03

XLON

328

246.5

12:18:32

XLON

768

246.5

13:00:58

XLON

680

246.5

13:33:00

XLON

507

246.5

14:47:15

XLON

115

246.5

15:18:46

XLON

60

246.5

15:18:46

XLON

561

246.5

15:33:31

XLON

281

246

10:13:05

XLON

40

246

12:31:43

XLON

605

246

15:14:05

XLON

 

 

Following the purchase, the Company's total issued share capital consists of 63,475,599 Shares. The Company does not hold any Shares in treasury therefore, the total number of Shares carrying voting rights in the Company is 63,475,599.

The above figure of 63,475,599 may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.

Liontrust Asset Management Plc (Tel: 020 7412 1700, Website: Liontrust.com)

Stephen Corbett: Head of Investor Relations

Simon Hildrey: Chief Marketing Officer

 

Panmure Liberum (Tel: 020 7886 2500)

Corporate Broking: David Watkins

Corporate Advisory: Atholl Tweedie

 

 Singer Capital Markets (Tel: 020 7496 3000)

Corporate Broking: Charles Leigh-Pemberton

Corporate Advisory: Asha Chotai

ENDS

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