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65.60    0.20 (0.31%)
Bid:
65.50
Ask:
65.70
Spread: 0.20 (0.305%)
Market Cap: £579.53m
IPO Live PriceLast checked at - London Stock Exchange

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Transaction in Own Shares

1 Oct 2025 17:23

RNS Number : 7031B
IP Group PLC
01 October 2025
 

Transaction in Own Shares

 

IP Group plc (LSE: IPO) ("IP Group" or "the Group"), today announces that Numis Securities Limited (which is trading for these purposes as Deutsche Numis) ("Deutsche Numis"), purchased on behalf of IP Group the number of ordinary shares of 2 pence each on the London Stock Exchange as set out in the table below (the Repurchased Shares) pursuant to the IP Group share buyback programme, an extension to which was announced on 26 June 2025 (the Buyback Programme).

Date of purchase:

01/10/2025

Number of ordinary shares purchased:

347,000

Highest price paid per ordinary share (GBp):

53.30

Lowest price paid per ordinary share (GBp): 

52.50

Volume weighted average price paid per ordinary share (GBp): 

52.8744

 

Any Ordinary Shares purchased under the Buyback Programme will be cancelled in order to decrease the number of Ordinary Shares in issue. Accordingly, following the above transaction and subsequent cancellation of the Repurchased Shares, the Group has 895,323,905 ordinary shares in issue with voting rights. This number 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, IP Group under the FCA's Disclosure Guidance and Transparency Rules. There are no Ordinary Shares held in treasury.

 

IP Group will make further announcements following the completion of any additional purchases pursuant to the Buyback Programme.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), the schedule below contains detailed information about the purchases made by Deutsche Numis on behalf of IP Group as part of the Buyback Programme.

 

Both aggregate data in respect of the Repurchased Shares as well as the individual purchases are set out below.

 

Aggregate information:

 

Issuer name and ISIN: IP Group plc (ISIN: GB00B128J450)

 

Date of purchases:

01/10/2025

Number of ordinary shares purchased:

347,000

Volume weighted average price (pence):

52.8744

 

Individual transactions:

 

Number of ordinary shares purchased

Transaction price(GBp share)

Time of transaction (UK Time)

Trading venue

662

53.10

 08:38:01

XLON

1297

53.20

 08:38:01

XLON

2436

53.20

 08:38:01

XLON

404

53.20

 08:42:01

XLON

310

53.20

 08:46:01

XLON

1474

53.20

 09:01:34

XLON

107

53.20

 09:01:47

XLON

7609

53.30

 09:08:14

XLON

8532

53.10

 09:10:01

XLON

55

52.80

 09:18:09

XLON

3

52.80

 09:18:34

XLON

358

52.80

 09:19:05

XLON

1028

52.80

 09:19:37

XLON

906

52.80

 09:20:03

XLON

5269

52.80

 09:20:03

XLON

407

52.50

 09:24:53

XLON

15

52.50

 09:25:21

XLON

800

53.00

 10:02:15

XLON

48

53.00

 10:11:35

XLON

1387

53.00

 10:11:35

XLON

429

53.10

 10:18:02

XLON

1499

53.10

 10:18:02

XLON

2303

53.10

 10:18:02

XLON

7963

53.00

 10:18:03

XLON

401

52.90

 10:18:58

XLON

3401

52.90

 10:19:33

XLON

250

52.90

 10:20:07

XLON

723

52.90

 10:20:35

XLON

7642

53.20

 10:33:42

XLON

22

53.10

 10:33:58

XLON

1362

53.10

 10:34:12

XLON

646

53.10

 10:34:32

XLON

2

53.10

 10:34:59

XLON

15

53.10

 10:35:28

XLON

31

53.10

 10:36:02

XLON

93

53.10

 10:37:04

XLON

41

53.10

 10:37:41

XLON

4

53.10

 10:38:12

XLON

11

53.10

 10:38:38

XLON

31

53.10

 10:39:15

XLON

16

53.10

 10:39:52

XLON

25

53.10

 10:40:18

XLON

65

53.10

 10:40:52

XLON

10

53.10

 10:41:26

XLON

21

53.10

 10:42:00

XLON

42

53.10

 10:42:26

XLON

22

53.10

 10:42:59

XLON

5

53.10

 10:43:25

XLON

15

53.10

 10:43:57

XLON

19

53.10

 10:44:29

XLON

6

53.10

 10:45:03

XLON

23

53.10

 10:45:30

XLON

5

53.10

 10:46:08

XLON

4665

53.10

 10:46:08

XLON

7069

53.10

 10:46:08

XLON

882

53.00

 10:46:42

XLON

3028

53.00

 10:47:08

XLON

818

53.00

 10:47:42

XLON

64

53.00

 10:48:08

XLON

38

53.00

 10:48:41

XLON

7

53.00

 10:49:15

XLON

6

53.00

 10:49:41

XLON

68

53.00

 10:50:50

XLON

18

53.00

 10:51:21

XLON

27

53.00

 10:51:46

XLON

23

53.00

 10:52:15

XLON

51

53.00

 10:52:48

XLON

21

53.00

 10:53:15

XLON

15

53.00

 10:53:41

XLON

18

53.00

 10:54:15

XLON

12

53.00

 10:54:54

XLON

1645

53.00

 10:55:02

XLON

1362

53.00

 10:55:06

XLON

951

53.20

 11:31:18

XLON

7129

53.20

 11:31:18

XLON

2630

53.10

 11:31:19

XLON

3667

53.10

 11:31:38

XLON

1766

53.10

 11:31:42

XLON

534

53.10

 11:32:15

XLON

372

53.20

 12:04:06

XLON

3694

53.20

 12:06:06

XLON

7646

53.20

 12:37:00

XLON

3297

53.20

 12:37:00

XLON

4500

53.20

 12:37:00

XLON

2676

53.10

 12:59:55

XLON

5428

53.10

 13:00:12

XLON

8586

52.90

 13:10:35

XLON

558

52.80

 13:26:02

XLON

6637

52.80

 13:26:02

XLON

1547

52.70

 13:34:23

XLON

1874

52.70

 13:36:03

XLON

1704

52.70

 13:37:43

XLON

2215

52.70

 13:39:23

XLON

379

52.70

 13:39:23

XLON

2556

52.70

 13:44:23

XLON

2386

52.70

 13:46:03

XLON

1874

52.70

 13:47:43

XLON

949

52.70

 13:47:53

XLON

1915

52.60

 13:57:43

XLON

1789

52.60

 13:59:23

XLON

2081

52.60

 14:01:03

XLON

746

52.60

 14:02:43

XLON

1535

52.60

 14:02:43

XLON

2215

52.60

 14:04:23

XLON

1704

52.60

 14:06:03

XLON

1874

52.60

 14:07:43

XLON

1653

52.60

 14:09:23

XLON

2045

52.60

 14:14:23

XLON

2215

52.60

 14:16:03

XLON

1704

52.60

 14:17:43

XLON

3590

52.70

 14:38:40

XLON

372

52.70

 14:38:40

XLON

2528

52.60

 14:38:42

XLON

11365

52.60

 14:38:42

XLON

1307

52.60

 14:47:37

XLON

3313

52.60

 14:47:37

XLON

50000

52.90

 14:53:23

XLON

138

52.80

 15:02:00

XLON

12548

52.80

 15:02:00

XLON

575

52.60

 15:03:35

XLON

777

52.60

 15:04:10

XLON

267

52.60

 15:04:37

XLON

474

52.60

 15:05:09

XLON

312

52.60

 15:05:34

XLON

85

52.60

 15:08:43

XLON

39

52.60

 15:09:23

XLON

462

52.60

 15:09:50

XLON

748

52.60

 15:10:22

XLON

120

52.70

 15:41:18

XLON

24

52.70

 15:41:49

XLON

147

52.70

 15:42:15

XLON

1765

52.70

 15:46:35

XLON

5527

52.70

 15:46:35

XLON

7542

52.70

 15:46:35

XLON

7927

52.70

 15:57:35

XLON

1508

52.70

 15:57:35

XLON

419

52.80

 15:57:36

XLON

5696

52.80

 15:57:40

XLON

9000

52.80

 15:57:40

XLON

280

52.70

 16:00:39

XLON

7935

52.70

 16:00:39

XLON

1756

52.70

 16:00:39

XLON

17

52.70

 16:01:04

XLON

1588

52.70

 16:01:30

XLON

432

52.70

 16:02:07

XLON

225

52.70

 16:02:40

XLON

304

52.70

 16:03:17

XLON

872

52.70

 16:03:55

XLON

112

52.70

 16:04:29

XLON

42

52.70

 16:05:04

XLON

252

52.70

 16:05:42

XLON

138

52.70

 16:06:01

XLON

247

52.70

 16:06:14

XLON

31

52.70

 16:06:53

XLON

138

52.70

 16:07:01

XLON

277

52.70

 16:07:20

XLON

115

52.70

 16:07:56

XLON

138

52.70

 16:08:01

XLON

406

52.70

 16:08:33

XLON

65

52.70

 16:09:11

XLON

138

52.70

 16:09:44

XLON

233

52.70

 16:09:44

XLON

10

52.70

 16:09:44

XLON

128

52.70

 16:09:44

XLON

16

52.70

 16:10:11

XLON

179

52.70

 16:10:11

XLON

3324

52.70

 16:10:32

XLON

7001

52.70

 16:10:32

XLON

11044

52.70

 16:10:32

XLON

3864

52.60

 16:10:32

XLON

 

 

 

For more information, please contact:

 

IP Group plc

www.ipgroupplc.com

Liz Vaughan-Adams, Communications

+44 (0) 20 7444 0062/+44 (0) 7967 312125

Portland

Alex Donaldson

+44 (0) 7516 729702

 

Further information on IP Group is available on our website: www.ipgroupplc.com

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