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Intercontinental Hotels Group PLC

Transaction in Own Shares Oct 18, 2024

5306_rns_2024-10-18_d46cdec8-3632-4c16-9355-9ceedea053bc.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 6788I

InterContinental Hotels Group PLC

18 October 2024

18 October 2024

InterContinental Hotels Group PLC (the Company)

Purchase of own shares

The Company announces that on 17 October 2024 it purchased the following number of its ordinary shares of 20340/399pence each through Goldman Sachs International ("GSI") on the London Stock Exchange in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 3 May 2024 (the "Purchase"). The Purchase was effected pursuant to instructions issued by the Company on 20 February 2024, as announced on 20 February 2024 .

Date of purchase: 17 October 2024
Aggregate number of ordinary shares purchased: 3,000
Lowest price paid per share: £ 85.2800
Highest price paid per share: £ 86.1600
Average price paid per share: £ 85.7765

The Company intends to cancel the purchased shares.

Following the above transaction, the Company has 159,231,452 ordinary shares in issue (excluding 6,956,782 held in treasury).

A full breakdown of the individual purchases by GSI is included below.

Enquiries to:

InterContinental Hotels Group PLC:

Investor Relations: Stuart Ford (+44 (0)7823 828 739);

Joe Simpson (+44 (0)7976 862 072)

Media Relations: Mike Ward (+44 (0)7795 257 407)

Schedule of Purchases

Shares purchased: 3,000 (ISIN: GB00BHJYC057)

Date of purchases: 17 October 2024

Investment firm: GSI

Aggregated information:

London Stock Exchange Cboe BXE Cboe CXE Turquoise
Number of ordinary shares purchased 3,000
Highest price paid (per ordinary share) £ 86.1600
Lowest price paid (per ordinary share) £ 85.2800
Volume weighted average price paid(per ordinary share) £ 85.7765

Detailed information:

Transaction Date Time Time Zone Volume Price (GBP) Trading Venue Transaction ID
17/10/2024 09:50:05 BST 88 85.3200 XLON 1089822861040733
17/10/2024 09:54:12 BST 90 85.3000 XLON 1089822861041084
17/10/2024 09:54:13 BST 88 85.2800 XLON 1089822861041085
17/10/2024 09:56:47 BST 68 85.4200 XLON 1089822861041274
17/10/2024 10:10:28 BST 60 85.3800 XLON 1089822861042357
17/10/2024 10:29:45 BST 58 85.5000 XLON 1089822861043673
17/10/2024 10:45:12 BST 62 85.5600 XLON 1089822861045651
17/10/2024 11:05:02 BST 59 85.4800 XLON 1089822861047386
17/10/2024 11:23:48 BST 62 85.4800 XLON 1089822861048799
17/10/2024 11:55:30 BST 12 85.4800 XLON 1089822861051157
17/10/2024 11:55:30 BST 32 85.4800 XLON 1089822861051158
17/10/2024 12:07:51 BST 76 85.5200 XLON 1089822861051753
17/10/2024 12:33:19 BST 45 85.5600 XLON 1089822861053745
17/10/2024 12:43:28 BST 73 85.5800 XLON 1089822861054299
17/10/2024 13:20:05 BST 45 85.5600 XLON 1089822861056917
17/10/2024 13:24:01 BST 74 85.6000 XLON 1089822861057112
17/10/2024 13:47:08 BST 62 85.7000 XLON 1089822861058278
17/10/2024 14:04:54 BST 59 85.7000 XLON 1089822861059042
17/10/2024 14:25:36 BST 62 85.7800 XLON 1089822861060272
17/10/2024 14:45:15 BST 42 85.8400 XLON 1089822861062269
17/10/2024 14:53:08 BST 74 85.8600 XLON 1089822861062865
17/10/2024 15:01:53 BST 61 85.8200 XLON 1089822861063261
17/10/2024 15:17:05 BST 61 85.9000 XLON 1089822861064574
17/10/2024 15:30:30 BST 47 86.0400 XLON 1089822861066455
17/10/2024 15:32:08 BST 22 85.9800 XLON 1089822861066989
17/10/2024 15:32:08 BST 53 85.9800 XLON 1089822861066990
17/10/2024 15:35:48 BST 62 85.9400 XLON 1089822861067884
17/10/2024 15:40:35 BST 7 86.1200 XLON 1089822861069041
17/10/2024 15:40:35 BST 54 86.1200 XLON 1089822861069042
17/10/2024 15:45:05 BST 62 85.9800 XLON 1089822861069638
17/10/2024 15:50:55 BST 58 86.0800 XLON 1089822861070698
17/10/2024 15:55:10 BST 62 86.0600 XLON 1089822861071113
17/10/2024 16:01:05 BST 63 85.9000 XLON 1089822861071696
17/10/2024 16:04:01 BST 63 85.7800 XLON 1089822861072118
17/10/2024 16:09:06 BST 61 85.8600 XLON 1089822861072804
17/10/2024 16:13:10 BST 63 85.8800 XLON 1089822861073595
17/10/2024 16:25:13 BST 41 85.8200 XLON 1089822861075413
17/10/2024 16:26:18 BST 53 85.8400 XLON 1089822861075522
17/10/2024 16:32:13 BST 14 85.8800 XLON 1089822861076375
17/10/2024 16:32:13 BST 10 85.8800 XLON 1089822861076376
17/10/2024 16:32:13 BST 23 85.8800 XLON 1089822861076377
17/10/2024 16:32:13 BST 13 85.8800 XLON 1089822861076378
17/10/2024 16:33:47 BST 45 85.8600 XLON 1089822861076664
17/10/2024 16:37:35 BST 73 85.8200 XLON 1089822861077317
17/10/2024 16:45:09 BST 30 85.9000 XLON 1089822861078701
17/10/2024 16:45:09 BST 34 85.9000 XLON 1089822861078702
17/10/2024 16:52:09 BST 67 86.0200 XLON 1089822861079953
17/10/2024 16:57:54 BST 49 86.0400 XLON 1089822861080750
17/10/2024 17:04:54 BST 12 86.0600 XLON 1089822861081945
17/10/2024 17:04:54 BST 56 86.0600 XLON 1089822861081946
17/10/2024 17:10:41 BST 70 86.1600 XLON 1089822861082939
17/10/2024 17:15:08 BST 40 86.0000 XLON 1089822861083950
17/10/2024 17:17:39 BST 4 86.0200 XLON 1089822861084460
17/10/2024 17:17:39 BST 38 86.0200 XLON 1089822861084461
17/10/2024 17:20:26 BST 66 86.0000 XLON 1089822861084864
17/10/2024 17:26:06 BST 30 86.0600 XLON 1089822861086091
17/10/2024 17:26:06 BST 10 86.0600 XLON 1089822861086092
17/10/2024 17:26:06 BST 10 86.0600 XLON 1089822861086093
17/10/2024 17:26:06 BST 48 86.0400 XLON 1089822861086095
17/10/2024 17:28:57 BST 74 86.0600 XLON 1089822861086850

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.

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