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Intercontinental Hotels Group PLC

Transaction in Own Shares Jul 28, 2025

5306_pos_2025-07-28_c4431254-e5a2-4288-ab55-5c74d034aa6a.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 6921S

InterContinental Hotels Group PLC

28 July 2025

28 July 2025

InterContinental Hotels Group PLC (the "Company")

Transaction in own shares

The Company announces that on 25 July 2025 it purchased the following number of its ordinary shares of 20 340/399 pence each from Merrill Lynch International ("MLI") on the London Stock Exchange in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 8 May 2025 (the "Purchase"). The Purchase was effected pursuant to instructions issued by the Company on 18 February 2025 as announced on 18 February 2025.

Date of Purchase: 25 July

London Stock Exchange Cboe BXE Cboe CXE Turquoise Aquis
Number of ordinary shares purchased 1,629 0 0 0 0
Highest price paid (per ordinary share) £ 85.4400 £ 0.0000 £ 0.0000 £ 0.0000 £ 0.0000
Lowest price paid (per ordinary share) £ 85.3000 £ 0.0000 £ 0.0000 £ 0.0000 £ 0.0000
Volume weighted average price paid (per ordinary share) £ 85.4332 £ 0.0000 £ 0.0000 £ 0.0000 £ 0.0000

The Company intends to cancel the purchased shares.

Following the above transaction, the Company has 154,499,321 ordinary shares in issue (excluding 6,206,782 held in treasury).

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

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

Enquiries to:

InterContinental Hotels Group PLC:

Investor Relations:         Stuart Ford (+44 (0)7823 828 739); Kate Carpenter (+44 (0) 7825 655 702);     

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

Media Relations:            Neil Maidment (+44 (0)7970 668 250) Mike Ward (+44 (0)7795 257 407)

Schedule of Purchases

Shares purchased:        1,629 (ISIN: GB00BHJYC057 )

Date of Purchases:       25 July 2025

Investment firm:            MLI

Detailed information:

Transaction

Date
Time Time

Zone
Volume Price (GBP) Trading

Venue
Transaction ID
25/07/2025 08:16:40 BST 31 85.4400 XLON 0XL07A0000000000DDPDVI
25/07/2025 08:16:40 BST 156 85.4400 XLON 0XL07A0000000000DDPDVH
25/07/2025 08:43:15 BST 119 85.4400 XLON 0XL07A0000000000DDPFMO
25/07/2025 08:43:25 BST 161 85.4200 XLON 0XL07A0000000000DDPFN7
25/07/2025 08:51:50 BST 3 85.3800 XLON 0XL07A0000000000DDPGBQ
25/07/2025 08:51:57 BST 25 85.3800 XLON 0XL07A0000000000DDPGC2
25/07/2025 09:04:00 BST 25 85.3400 XLON 0XL07A0000000000DDPHDG
25/07/2025 09:05:27 BST 26 85.3000 XLON 0XL07A0000000000DDPHHI
25/07/2025 14:29:16 BST 135 85.4400 XLON 0XL07A0000000000DDQAT1
25/07/2025 14:29:16 BST 321 85.4400 XLON 0XL07A0000000000DDQAT3
25/07/2025 14:29:16 BST 610 85.4400 XLON 0XL07A0000000000DDQAT2
25/07/2025 14:29:24 BST 17 85.4400 XLON 0XL07A0000000000DDQATG

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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