
EXTRAORDINARY INFORMATION
Budapest, 30 October 2025
Treasury share transaction within the Group
PannErgy Plc. hereby informs capital market participants that pursuant to the "Share Loan Agreement" concluded between PannErgy Plc. (the Borrower") and its 100% subsidiary PannErgy Geothermal Power Plants Ltd. (the "Lender") on 2 April 2025, PannErgy Plc. returned 20,000 PannErgy Plc. ordinary shares to the Lender on 30 October 2025.
| date |
name of share |
number of shares |
| 2025.10.30. |
PannErgy ordinary share ISIN Code: HU0000089867 |
20.000 |
Following the transaction, the own share stock and the shareholding in the issuer will be as follows in respect of the number of shares held by the Company and the subsidiary:
|
Shareholding before transaction |
|
Shareholding following transaction (30 October 2025) |
|
|
db |
% |
db |
% |
At company level PannErgy Plc. |
702,417 |
4.39 |
682,417 |
4.27 |
Subsidiaries PannErgy Geothermal Power Plants Ltd. |
1,890,948 |
11.82 |
1,910,948 |
11.94 |
| Total |
2,593,365 |
16.21 |
2,593,365 |
16.21 |
The transaction did not exceed the threshold specified in Section 61 (3) of the Act.
PannErgy Nyrt. / PannErgy Plc.
This announcement is published in Hungarian and English languages. In case of any contradiction between these two versions, the Hungarian version shall prevail.
