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HICL Infrastructure PLC

Transaction in Own Shares Jan 21, 2025

5019_rns_2025-01-21_d38631c5-8aee-4f8c-a67f-6115f31e5fc7.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 0164U

HICL Infrastructure PLC

21 January 2025

21 January 2025

HICL Infrastructure PLC

Transaction in own shares

HICL Infrastructure plc ("HICL") announces that, in accordance with the terms of its share buyback programme (the "Programme") announced on 28 February 2024, it has purchased the following number of its ordinary shares of 0.01 pence each ("Ordinary Shares") through RBC Europe Limited.

Date of Purchase 20 January 2025
Number of ordinary shares purchased 267,000
Weighted average price paid (p) 110.9182
Highest price paid (p) 111.20
Lowest price paid (p) 110.60

Following the above purchase, HICL holds 33,652,491 Ordinary Shares in treasury. The total number of Ordinary Shares in issue excluding shares held as treasury shares is 1,997,835,570. HICL initially intends to hold the purchased shares as treasury shares.

The total number of voting rights in HICL, excluding treasury shares is 1,997,835,570. This figure 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, HICL under the FCA's Disclosure and Transparency Rules.

Enquiries

InfraRed Capital Partners Limited

Edward Hunt

Simon Thorneloe

Mohammed Zaheer
+44 (0) 20 7484 1800 / [email protected]
Brunswick

Sofie Brewis
+44 (0) 20 7404 5959 / [email protected]
Investec Bank plc

David Yovichic
+44(0) 20 7597 4952
RBC Capital Markets

Matthew Coakes

Elizabeth Evans
+44 (0) 20 7653 4000
Aztec Financial Services (UK) Limited

Chris Copperwaite

Sarah Felmingham
+44(0) 203 818 0246

Transaction details

Issuer name: HICL Infrastructure PLC

LEI: 213800BVXR1E5L7PEV94

ISIN: GB00BJLP1Y77

Classification: 2.4. Acquisition or disposal of the issuer's own shares

Intermediary name: RBC Europe Limited

Intermediary Code: ROYCGB22

Timezone: GMT

Currency: GBp

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), a breakdown of the individual trades made by RBC Europe Limited on behalf of HICL as part of the Programme is detailed below:

Aggregate information: 

Venue Weighted average price (pence per share) Aggregated volume
XLON 174,674 110.91
BATE 10,736 110.96
CHIX 20,692 110.95
TRQX 19,128 110.94
Aquis 41,770 110.90

Individual transactions:

Transaction Date Transaction Time Volume Price Platform
20/01/2025 12:30:25 1952 111.00 TRQX
20/01/2025 12:30:25 1952 111.00 BATE
20/01/2025 12:30:25 7442 111.00 XLON
20/01/2025 12:30:25 3500 111.00 BATE
20/01/2025 12:30:25 3332 111.00 BATE
20/01/2025 12:30:25 13168 111.00 XLON
20/01/2025 12:30:26 976 111.00 CHIX
20/01/2025 12:30:26 2506 111.00 XLON
20/01/2025 12:30:26 13168 111.00 XLON
20/01/2025 12:30:26 4936 111.00 XLON
20/01/2025 12:30:32 976 111.00 TRQX
20/01/2025 12:30:32 1952 111.00 Aquis
20/01/2025 12:30:32 2493 111.00 XLON
20/01/2025 12:30:32 4339 111.00 XLON
20/01/2025 13:25:20 976 111.20 CHIX
20/01/2025 13:25:20 2562 111.20 Aquis
20/01/2025 13:25:20 976 111.20 TRQX
20/01/2025 13:25:20 2319 111.20 XLON
20/01/2025 13:25:20 4513 111.20 XLON
20/01/2025 14:54:11 3904 111.20 TRQX
20/01/2025 14:54:11 7442 111.20 XLON
20/01/2025 14:54:11 1036 111.00 CHIX
20/01/2025 15:00:49 4514 111.20 CHIX
20/01/2025 15:00:49 73 111.20 XLON
20/01/2025 15:00:49 6759 111.20 XLON
20/01/2025 15:02:16 158 111.00 XLON
20/01/2025 15:12:18 73 111.00 XLON
20/01/2025 15:25:00 976 111.00 TRQX
20/01/2025 15:25:00 976 111.00 CHIX
20/01/2025 15:25:00 1952 111.00 Aquis
20/01/2025 15:25:00 7442 111.00 XLON
20/01/2025 15:25:00 1892 111.00 CHIX
20/01/2025 15:25:00 3904 111.00 Aquis
20/01/2025 15:25:00 2364 111.00 XLON
20/01/2025 15:25:00 10573 111.00 XLON
20/01/2025 15:25:01 3013 111.00 Aquis
20/01/2025 15:25:01 3987 111.00 Aquis
20/01/2025 15:56:51 3904 110.80 Aquis
20/01/2025 15:56:51 976 110.80 TRQX
20/01/2025 15:56:51 976 110.80 CHIX
20/01/2025 15:56:51 9144 110.80 XLON
20/01/2025 15:56:51 3500 110.80 Aquis
20/01/2025 15:56:51 1336 110.80 TRQX
20/01/2025 15:56:51 404 110.80 Aquis
20/01/2025 15:56:51 976 110.80 CHIX
20/01/2025 15:56:51 8784 110.80 XLON
20/01/2025 15:56:51 2928 110.80 Aquis
20/01/2025 15:56:51 976 110.80 TRQX
20/01/2025 15:56:51 1336 110.80 CHIX
20/01/2025 15:56:51 976 110.80 BATE
20/01/2025 15:56:51 8784 110.80 XLON
20/01/2025 15:56:52 976 110.80 TRQX
20/01/2025 15:56:52 976 110.80 Aquis
20/01/2025 15:56:52 1096 110.80 CHIX
20/01/2025 15:56:52 1952 110.80 XLON
20/01/2025 15:57:12 7808 110.80 Aquis
20/01/2025 15:57:12 5104 110.80 TRQX
20/01/2025 15:57:12 1402 110.80 CHIX
20/01/2025 15:57:12 3478 110.80 CHIX
20/01/2025 15:57:12 3800 110.80 XLON
20/01/2025 15:57:12 1704 110.80 XLON
20/01/2025 15:57:12 26704 110.80 XLON
20/01/2025 15:57:12 3844 110.60 XLON
20/01/2025 15:57:13 2320 110.60 XLON
20/01/2025 15:57:13 1278 110.60 XLON
20/01/2025 16:06:20 1226 110.60 XLON
20/01/2025 16:06:20 2678 110.60 XLON
20/01/2025 16:14:02 4880 110.80 Aquis
20/01/2025 16:14:02 976 110.80 TRQX
20/01/2025 16:14:02 976 110.80 BATE
20/01/2025 16:14:02 1058 110.80 CHIX
20/01/2025 16:14:02 4860 110.80 XLON
20/01/2025 16:14:02 7000 110.80 XLON
20/01/2025 16:14:02 828 110.80 XLON

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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