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Bytes Technology Group PLC

Transaction in Own Shares Sep 22, 2025

5048_pos_2025-09-22_16fafb68-5b8f-4b9d-b38e-6493539c1879.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 1241A

Bytes Technology Group PLC

22 September 2025

22 September 2025

Bytes Technology Group plc

("BTG", or the "Company")

Transaction in Own Shares

BTG announces that on 19 September 2025, it purchased the following number of its ordinary shares of £0.01 each (the "Ordinary Shares") on the London Stock Exchange from Numis Securities Limited ("Deutsche Numis"), in accordance with the terms of the Share Buyback Programme announced on 15 August 2025 (the "Buyback Programme").

Aggregate number of Ordinary Shares purchased: 125,000
Volume weighted average price paid per share (GBP): 395.0125
Highest price paid per share (GBP): 398.40
Lowest price paid per share (GBP): 391.20

BTG intends to cancel all of the purchased shares. Following settlement of the above purchases and cancellation of the purchased Ordinary Shares, the Company's total number of Ordinary Shares in issue, and its total voting rights, will be 240,651,713 Ordinary Shares. The Company does not hold any shares in treasury.

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 Deutsche Numis on behalf of the Company as part of the Buyback Programme.

Enquiries:

Bytes Technology Group plc

James Zaremba, Investor Relations

Tel: +44 (0)1372 418 500

Email:  [email protected]

Sodali & Co

Elly Williamson

Tilly Abraham

Tel: +44 (0)2072 501446

Email:  [email protected]  

The Company has a primary listing on the Main Market of the London Stock Exchange and a secondary

listing on the Johannesburg Stock Exchange.

Schedule of Purchases - Individual Transactions

Number of ordinary shares purchased Transaction price

(GBp share)
Time of transaction (UK Time) Trading venue
984 397.80 08:15:10 XLON
799 398.40 08:17:59 XLON
881 398.20 08:18:00 XLON
3 398.20 08:18:00 XLON
825 397.40 08:27:07 XLON
269 397.00 08:29:42 XLON
780 397.20 08:30:50 XLON
719 397.60 08:41:52 XLON
101 397.60 08:41:52 XLON
415 397.40 08:41:53 XLON
477 397.40 08:41:53 XLON
866 397.80 08:51:26 XLON
914 397.40 08:51:26 XLON
901 397.40 08:57:05 XLON
795 396.60 09:00:25 XLON
940 397.40 09:05:13 XLON
936 398.40 09:11:55 XLON
844 398.20 09:14:20 XLON
931 395.80 09:24:57 XLON
806 395.60 09:29:59 XLON
901 395.60 09:35:12 XLON
905 395.20 09:37:16 XLON
822 394.00 09:48:55 XLON
935 394.40 09:52:41 XLON
424 394.00 09:58:56 XLON
777 395.20 10:06:22 XLON
1750 395.60 10:15:11 XLON
635 395.80 10:15:11 XLON
190 395.80 10:15:11 XLON
1005 395.80 10:15:11 XLON
1310 395.80 10:15:11 XLON
1195 395.80 10:15:11 XLON
1176 395.80 10:15:11 XLON
254 395.80 10:15:11 XLON
1368 395.80 10:15:11 XLON
1314 395.80 10:15:11 XLON
1095 395.60 10:15:11 XLON
164 395.60 10:15:11 XLON
753 396.00 10:15:33 XLON
921 396.60 10:16:03 XLON
754 396.40 10:18:10 XLON
777 396.60 10:18:10 XLON
892 397.40 10:20:14 XLON
811 397.40 10:24:56 XLON
814 397.00 10:29:04 XLON
831 397.20 10:43:41 XLON
932 397.00 10:45:58 XLON
901 396.40 10:55:08 XLON
862 396.00 10:58:32 XLON
777 395.00 11:06:42 XLON
816 395.20 11:17:18 XLON
436 395.20 11:25:40 XLON
811 395.60 11:27:02 XLON
830 395.60 11:27:02 XLON
980 395.40 11:30:36 XLON
25000 395.80 11:33:50 XLON
800 395.40 11:38:50 XLON
812 394.80 11:39:55 XLON
898 394.60 11:47:57 XLON
756 394.40 11:59:50 XLON
910 394.60 12:06:48 XLON
891 394.20 12:09:52 XLON
772 395.00 12:14:56 XLON
700 394.60 12:21:46 XLON
231 394.60 12:21:46 XLON
793 394.20 12:22:15 XLON
869 393.80 12:30:24 XLON
895 393.80 12:31:11 XLON
847 394.20 12:43:18 XLON
759 394.80 12:59:54 XLON
901 394.60 13:01:54 XLON
836 394.40 13:02:00 XLON
435 394.60 13:17:38 XLON
500 394.60 13:17:38 XLON
55 394.60 13:17:58 XLON
789 394.40 13:18:02 XLON
85 394.60 13:18:02 XLON
898 394.40 13:27:02 XLON
427 394.40 13:32:48 XLON
420 394.40 13:32:48 XLON
882 394.20 13:34:37 XLON
874 393.80 13:37:00 XLON
476 393.60 13:37:00 XLON
338 393.60 13:38:08 XLON
1020 394.40 13:54:56 XLON
767 394.20 13:57:38 XLON
803 394.20 13:57:38 XLON
884 393.80 14:00:30 XLON
429 393.80 14:05:43 XLON
434 395.20 14:11:18 XLON
481 395.20 14:12:56 XLON
832 395.20 14:12:57 XLON
6 395.20 14:12:57 XLON
783 395.40 14:23:45 XLON
835 395.40 14:23:45 XLON
833 395.00 14:24:13 XLON
133 395.00 14:27:47 XLON
850 395.00 14:27:47 XLON
812 394.60 14:33:39 XLON
757 394.40 14:38:24 XLON
1083 394.00 14:38:45 XLON
533 394.00 14:38:45 XLON
69 394.00 14:38:45 XLON
46 394.00 14:38:56 XLON
293 394.00 14:45:04 XLON
802 394.00 14:45:18 XLON
114 394.20 14:46:03 XLON
430 394.20 14:46:26 XLON
904 394.20 14:46:30 XLON
212 394.20 14:46:30 XLON
97 392.60 14:54:18 XLON
524 392.60 14:54:18 XLON
300 392.60 14:54:18 XLON
425 392.80 14:59:28 XLON
358 392.80 14:59:28 XLON
778 392.80 15:00:55 XLON
434 392.60 15:00:55 XLON
483 392.80 15:03:31 XLON
330 392.80 15:03:31 XLON
444 392.80 15:06:14 XLON
380 392.80 15:06:14 XLON
889 392.80 15:06:15 XLON
38 392.80 15:06:15 XLON
791 393.40 15:12:27 XLON
837 393.00 15:13:53 XLON
898 392.20 15:22:32 XLON
204 392.00 15:22:32 XLON
441 392.00 15:27:19 XLON
71 392.00 15:27:19 XLON
319 392.00 15:27:19 XLON
765 392.00 15:27:19 XLON
366 392.20 15:29:22 XLON
490 392.20 15:29:22 XLON
575 392.20 15:36:16 XLON
363 392.20 15:36:16 XLON
257 391.80 15:36:16 XLON
580 391.80 15:36:16 XLON
78 391.80 15:36:16 XLON
316 391.60 15:41:22 XLON
576 391.60 15:41:22 XLON
912 392.00 15:44:46 XLON
946 391.80 15:51:02 XLON
817 391.60 15:51:02 XLON
37 391.60 15:51:02 XLON
694 391.20 15:55:06 XLON
124 391.20 15:55:12 XLON
224 392.20 16:01:46 XLON
806 392.20 16:01:46 XLON
828 392.00 16:02:34 XLON
765 392.20 16:05:46 XLON
144 392.20 16:07:00 XLON
426 392.00 16:08:12 XLON
255 392.20 16:09:51 XLON
515 392.20 16:09:51 XLON
802 392.60 16:12:49 XLON

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