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Galliford Try Holdings PLC

Transaction in Own Shares Dec 17, 2025

5154_pos_2025-12-17_2439f2f6-e093-49ec-8eb5-d9e4dacd841e.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 8321L

Galliford Try Holdings PLC

17 December 2025

17 December 2025

Galliford Try Holdings plc

Transaction in Own Shares

GALLIFORD TRY HOLDINGS PLC ("Galliford Try", or the "Company") announces that on 16 December 2025 it purchased the following number of its Ordinary shares of 50p each from Panmure Liberum Limited as part of the buyback programme announced on 17 September 2025.

Date of Purchase 16 December 2025
Aggregate number of Ordinary 50p shares purchased 37,458
Lowest price paid per share (GBp) 515.00
Highest price paid per share (GBp) 521.00
Volume weighted average price paid per share (GBp) 519.10
Broker PANMURE LIBERUM LIMITED

Galliford Try intends to cancel the purchased shares.

Following settlement of the above purchases, Galliford Try has purchased a total of 1,299,332 shares since the commencement of the buyback programme and will have 100,979,937 ordinary shares of 50 pence each in issue. There are 0 shares held in treasury. This figure 100,979,937 represents the total number of voting rights in Galliford Try and can be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or change to their interest in, the Company under the Financial Conduct Authority's Disclosure and Transparency Rules.

Trading Venue / SI Volume-weighted average price paid per share (Gbp) Aggregated number of shares purchased
AQUIS (AQXE) - -
BATS (BATE) - -
Chi-X (CHIX) - -
Turquoise (TRQX) - -
London Stock Exchange (XLON) 519.10 37,458
Total 519.10 37,458

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as such Regulation has become part of domestic law by virtue of and for the purposes of the European Union (Withdrawal) Act 2018 (as amended by the European Union (Withdrawal Agreement) Act 2020) and as such Regulation has been amended in such form by any regulations made under that Act), the schedule below contains detailed and aggregated information of the individual trades made by Panmure Liberum Limited as part of the buyback programme.

This announcement is made in accordance with the requirements of Listing Rule 9.6.6.

For further enquiries, please contact:

Kevin Corbett, General Counsel & Company Secretary 01895 855 001

Schedule of Purchases - Individual Transactions

Number of shares purchased Transaction price (GBp) Venue Time of transaction Trade ID
17,296 521 XLON 10:59:02.621 00042999193TRLO0
600 521 XLON 10:59:02.621 00042999194TRLO0
2,032 521 XLON 10:59:02.621 00042999195TRLO0
206 521 XLON 10:59:02.658 00042999196TRLO0
316 519 XLON 10:59:02.869 00042999198TRLO0
780 521 XLON 10:59:02.869 00042999197TRLO0
260 518 XLON 10:59:02.926 00042999199TRLO0
519 516 XLON 11:09:35.083 00042999403TRLO0
312 518 XLON 11:41:06.347 00043000385TRLO0
70 518 XLON 11:41:06.347 00043000384TRLO0
624 518 XLON 11:41:06.347 00043000383TRLO0
360 518 XLON 11:41:06.347 00043000382TRLO0
121 518 XLON 11:41:06.347 00043000381TRLO0
304 518 XLON 11:41:06.347 00043000380TRLO0
634 518 XLON 11:41:06.348 00043000386TRLO0
334 515 XLON 11:54:54.551 00043000717TRLO0
37 515 XLON 11:54:54.551 00043000716TRLO0
594 517 XLON 13:13:50.656 00043002562TRLO0
199 517 XLON 13:13:50.656 00043002561TRLO0
714 517 XLON 13:13:50.656 00043002560TRLO0
2 517 XLON 13:13:50.656 00043002559TRLO0
354 517 XLON 13:13:50.656 00043002558TRLO0
1,287 517 XLON 13:13:50.657 00043002563TRLO0
317 517 XLON 13:13:50.855 00043002566TRLO0
371 517 XLON 13:13:50.855 00043002565TRLO0
323 517 XLON 13:13:50.855 00043002564TRLO0
703 517 XLON 13:13:51.069 00043002568TRLO0
1,243 517 XLON 13:13:51.268 00043002569TRLO0
581 517 XLON 13:13:51.344 00043002570TRLO0
680 517 XLON 13:13:51.468 00043002571TRLO0
209 516 XLON 13:43:55.150 00043003628TRLO0
248 516 XLON 13:43:55.179 00043003629TRLO0
909 515 XLON 13:53:52.814 00043003907TRLO0
577 516 XLON 13:53:52.827 00043003910TRLO0
323 516 XLON 13:53:52.827 00043003909TRLO0
520 516 XLON 13:53:52.827 00043003908TRLO0
287 516 XLON 13:53:53.995 00043003912TRLO0
25 516 XLON 13:53:53.995 00043003911TRLO0
285 516 XLON 13:53:55.060 00043003913TRLO0
784 516 XLON 15:30:59.360 00043006914TRLO0
163 517 XLON 16:01:33.063 00043007695TRLO0
955 515 XLON 16:20:28.135 00043008108TRLO0

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.

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