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Paragon Banking Group PLC

Transaction in Own Shares Jan 14, 2025

4701_rns_2025-01-14_f7c4cce2-65af-4621-aebb-e53d45334709.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 3185T

Paragon Banking Group PLC

14 January 2025

Paragon Banking Group PLC:

Transaction in own shares

14 January 2025

Paragon Banking Group PLC (the "Company") announces that it has purchased the following number of its ordinary shares of £1.00 each on the London Stock Exchange through Peel Hunt LLP ("Peel Hunt") , as part of the share buyback programme, of up to £50m, announced on 3 December 2024.

Date of purchase: 14 January 2025
Number of ordinary £1.00 shares purchased: 59,526
Highest price paid per share: 702.00p
Lowest price paid per share: 692.00p
Volume weighted average price paid per share: 697.7712p

Following the purchase of these shares, the Company holds 5,699,929 of its ordinary shares in treasury and has 204,905,031 ordinary shares in issue (excluding treasury shares).  The figure of 204,905,031 ordinary shares represents the total voting rights in the Company and may 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 a change to their interest in, the Company under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018) the schedule below contains detailed information about the purchases made by Peel Hunt on behalf of the Company as part of the buyback programme.

Enquiries to:
Paragon Banking Group PLC Ciara Murphy
Company Secretary
07974 980 152

Schedule of Purchases - Individual Transactions

Number of shares purchased Transaction price

(Gbp)
Venue Time of transaction
20 695 XLON 08:29:51
406 695 XLON 08:29:51
245 694.5 XLON 08:29:55
141 694.5 XLON 08:29:55
375 694 XLON 08:30:00
33 692 XLON 08:31:25
356 695.5 XLON 08:35:16
390 694.5 XLON 08:35:23
413 696.5 XLON 08:58:19
304 696 XLON 09:00:06
103 696 XLON 09:00:06
133 699.5 XLON 09:14:46
267 699.5 XLON 09:16:35
384 699 XLON 09:16:40
67 698.5 XLON 09:17:10
332 698.5 XLON 09:17:10
156 697 XLON 09:24:42
27 697 XLON 09:24:46
217 697 XLON 09:26:08
326 697.5 XLON 09:39:05
58 697.5 XLON 09:39:05
229 698 XLON 09:56:58
139 698 XLON 09:57:18
200 699.5 XLON 10:09:01
167 699.5 XLON 10:09:01
98 699.5 XLON 10:16:37
307 699.5 XLON 10:16:37
5 698.5 XLON 10:34:31
376 698.5 XLON 10:34:31
366 698 XLON 10:35:04
111 699 XLON 10:50:23
276 699 XLON 10:50:23
114 698.5 XLON 10:53:48
291 698.5 XLON 10:53:48
401 698 XLON 11:00:48
389 696.5 XLON 11:08:14
104 696.5 XLON 11:13:47
200 696.5 XLON 11:13:47
111 696.5 XLON 11:13:47
177 696 XLON 11:15:26
228 696 XLON 11:15:26
419 695.5 XLON 11:25:28
424 695.5 XLON 11:43:48
168 695 XLON 11:48:01
198 695 XLON 11:48:01
48 697 XLON 11:48:27
359 697 XLON 11:48:27
31618 697 XLON 11:54:17
167 697.5 XLON 12:02:10
200 697.5 XLON 12:02:10
53 697.5 XLON 12:02:10
429 696.5 XLON 12:07:38
300 696.5 XLON 12:09:26
59 696.5 XLON 12:09:26
12 697 XLON 12:09:34
291 697 XLON 12:09:34
15 697 XLON 12:09:35
92 697 XLON 12:11:40
385 698 XLON 12:12:47
363 697.5 XLON 12:31:00
420 701 XLON 12:55:11
183 700.5 XLON 12:58:58
207 700.5 XLON 12:58:58
359 701 XLON 13:13:09
385 700.5 XLON 13:13:10
110 700 XLON 13:18:00
110 700 XLON 13:18:00
171 700 XLON 13:18:00
9 700 XLON 13:18:00
6 700 XLON 13:24:36
390 700 XLON 13:24:36
133 699.5 XLON 13:26:01
1 699.5 XLON 13:26:01
247 699.5 XLON 13:26:01
121 699 XLON 13:26:39
120 699 XLON 13:26:39
120 699 XLON 13:26:39
415 698.5 XLON 13:27:59
201 699 XLON 13:30:04
9 699 XLON 13:30:05
98 700 XLON 13:30:37
200 700 XLON 13:30:37
74 700 XLON 13:30:37
382 700.5 XLON 13:34:43
380 700 XLON 13:35:12
412 699.5 XLON 13:35:54
158 699 XLON 13:36:49
223 699 XLON 13:36:49
200 698 XLON 13:46:21
105 698 XLON 13:46:21
62 698 XLON 13:53:17
222 698.5 XLON 14:01:31
146 698.5 XLON 14:01:31
393 698.5 XLON 14:12:38
107 698 XLON 14:23:38
200 698 XLON 14:23:38
57 698 XLON 14:23:38
139 698.5 XLON 14:26:48
200 698.5 XLON 14:27:24
41 698.5 XLON 14:27:24
41 698.5 XLON 14:27:24
185 701 XLON 14:41:00
206 701 XLON 14:41:00
132 701 XLON 14:47:13
225 701 XLON 14:48:01
380 700 XLON 14:50:21
200 700 XLON 14:59:07
201 700 XLON 14:59:07
269 701.5 XLON 15:02:42
140 701.5 XLON 15:02:42
44 701 XLON 15:05:01
200 701 XLON 15:05:01
16 701 XLON 15:05:01
127 701 XLON 15:05:01
200 701.5 XLON 15:17:30
166 701.5 XLON 15:17:30
222 702 XLON 15:25:13
133 702 XLON 15:25:13
296 701.5 XLON 15:39:20
125 701.5 XLON 15:39:20
234 700.5 XLON 15:39:46
145 700.5 XLON 15:39:46
423 700 XLON 15:41:03
396 701 XLON 15:44:06
14 701 XLON 15:48:13
12 701 XLON 15:50:13
27 701 XLON 15:56:02
102 701 XLON 15:56:02
12 701 XLON 15:56:02
12 701 XLON 15:56:48
186 701 XLON 15:56:48
251 701 XLON 16:00:22
119 701 XLON 16:00:22
96 700.5 XLON 16:01:25
17 700.5 XLON 16:01:26
200 700.5 XLON 16:01:30
84 700.5 XLON 16:01:30
42 700.5 XLON 16:01:43
1 700.5 XLON 16:01:43
11 700.5 XLON 16:01:43
200 700.5 XLON 16:01:44
168 700.5 XLON 16:01:44
180 700 XLON 16:02:53
184 700 XLON 16:02:53
102 699.5 XLON 16:17:53
282 699.5 XLON 16:17:53
2 700 XLON 16:21:35
9 700 XLON 16:21:35
31 700 XLON 16:21:35
265 700 XLON 16:21:38
53 700 XLON 16:21:45

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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