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Lion Finance Group PLC

Transaction in Own Shares Dec 2, 2025

4897_pos_2025-12-02_ef5f7205-f792-48db-8465-69ccf7127234.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 9579J

Lion Finance Group PLC

02 December 2025

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London, 2 December 2025

Lion Finance Group PLC announces Transaction in own shares

Lion Finance Group PLC (the "Company"- LSE: BGEO LN) announces that on 2 December 2025, Cavendish Capital Markets Limited ("Cavendish") purchased on behalf of the Company the number of ordinary shares of £0.01 each on the London Stock Exchange as set out in the table below (the "Repurchased Shares") pursuant to the share buyback and cancellation programme which was announced on 20 August 2025 and extended on 20 November 2025 (the "Buyback Programme").

Date of purchase: 2 December 2025
Number of Shares purchased: 3,000 Shares
The purchase price represents the volume weighted average price paid by Cavendish in sourcing the Shares, with the highest and lowest price paid by Cavendish being:
Highest price paid per Share: 9155.0000p
Lowest price paid per Share: 9020.0000p
Average market price paid per Share: 9112.0467p

Application will be made later for the Repurchased Shares to be cancelled pending which the shares will be held in Treasury. Following the cancellation of the Repurchased Shares, the total number of ordinary shares with voting rights will be 43,498,333 which 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, the Company under the FCA's Disclosure Guidance and Transparency Rules.

The Company will make further announcements following the completion of any additional purchases pursuant to the Buyback Programme.

The schedule below contains detailed information about the purchase(s) made by Cavendish on behalf of the Company as part of the Buyback Programme.

Both aggregate data in respect of the Repurchased Shares as well as the individual purchases are set out below.

Schedule of Purchases

Shares purchased: Lion Finance Group PLC (ISIN CODE: GB00BF4HYT85)

Date of purchase: 2 December 2025

Investment firm: Cavendish Capital Markets Limited

Aggregate information:

Venue Volume-weighted

average price, pence
Aggregated volume
London Stock Exchange 9112.0467p 3,000
Number of Ordinary Shares Purchased Transaction Price (GBP Share) Time of Transaction (UK Time) Trading Venue
29 9025 08:28:02 XLON
3 9025 08:28:02 XLON
12 9025 08:28:02 XLON
5 9020 08:36:45 XLON
1 9020 08:37:31 XLON
1 9020 08:37:31 XLON
1 9020 08:39:01 XLON
3 9020 08:47:34 XLON
15 9020 08:47:34 XLON
14 9020 08:47:34 XLON
27 9040 09:03:10 XLON
4 9040 09:03:10 XLON
12 9040 09:03:10 XLON
6 9115 09:36:37 XLON
6 9115 09:36:51 XLON
27 9115 09:36:51 XLON
10 9115 09:37:20 XLON
6 9115 09:37:20 XLON
22 9115 09:37:20 XLON
21 9105 09:37:20 XLON
7 9105 09:37:20 XLON
9 9105 09:37:20 XLON
3 9105 09:37:20 XLON
29 9085 10:02:41 XLON
9 9085 10:02:41 XLON
30 9085 10:12:00 XLON
7 9085 10:12:00 XLON
44 9080 10:12:00 XLON
24 9080 11:00:44 XLON
1 9080 11:00:44 XLON
6 9080 11:00:44 XLON
7 9080 11:00:44 XLON
1 9080 11:00:44 XLON
2 9065 11:16:43 XLON
81 9082.5 11:16:43 XLON
8 9050 12:00:51 XLON
3 9050 12:00:51 XLON
15 9050 12:00:51 XLON
15 9050 12:00:51 XLON
117 9025 12:18:20 XLON
40 9020 12:39:49 XLON
22 9115 13:55:12 XLON
4 9115 13:55:12 XLON
12 9115 13:55:12 XLON
5 9115 13:55:12 XLON
30 9105 14:00:40 XLON
8 9105 14:00:40 XLON
44 9100 14:17:48 XLON
12 9085 14:17:48 XLON
6 9085 14:17:48 XLON
3 9085 14:17:48 XLON
18 9085 14:17:48 XLON
120 9090 14:17:48 XLON
87 9090 14:39:00 XLON
46 9090 14:39:00 XLON
35 9090 14:39:00 XLON
70 9095 15:06:40 XLON
4 9090 15:10:34 XLON
195 9090 15:10:34 XLON
12 9112.5 15:39:50 XLON
4 9120 15:45:10 XLON
15 9120 15:45:10 XLON
38 9120 15:45:10 XLON
15 9120 15:45:10 XLON
2 9120 15:45:10 XLON
37 9125 15:52:50 XLON
8 9115 15:54:20 XLON
74 9125 15:56:30 XLON
2 9125 16:00:01 XLON
5 9125 16:00:01 XLON
3 9110 16:00:16 XLON
27 9110 16:00:16 XLON
5 9110 16:00:16 XLON
3 9110 16:00:16 XLON
10 9115 16:05:10 XLON
16 9112.04918 16:05:16 XLON
48 9120 16:06:00 XLON
3 9120 16:07:20 XLON
18 9120 16:07:20 XLON
1 9120 16:07:20 XLON
4 9120 16:07:20 XLON
7 9120 16:07:20 XLON
2 9120 16:07:20 XLON
2 9120 16:08:55 XLON
1 9120 16:08:55 XLON
5 9120 16:08:55 XLON
13 9124.86111 16:14:40 XLON
68 9130 16:14:50 XLON
73 9125 16:19:30 XLON
8 9120 16:19:55 XLON
33 9120 16:19:55 XLON
9 9122.5 16:23:02 XLON
3 9123.01242 16:25:04 XLON
5 9115 16:26:21 XLON
4 9115 16:26:21 XLON
20 9115 16:26:21 XLON
4 9115 16:26:21 XLON
4 9115 16:26:21 XLON
3 9115 16:28:40 XLON
982 9155 16:35:24 XLON

For further information, please contact: Computershare Company Secretarial Services Limited, [email protected]

Name of authorised official of issuer responsible for making notification: Computershare Company Secretarial Services Limited, Company Secretary

About Lion Finance Group PLC

Lion Finance Group PLC (LSE: BGEO LN) is a FTSE 250 holding company whose main subsidiaries provide banking and financial services focused in the high-growth Georgian and Armenian markets through leading, customer-centric, universal banks - Bank of Georgia in Georgia and Ameriabank in Armenia. By building on our competitive strengths, we are committed to driving business growth, sustaining high profitability, and generating strong returns, while creating opportunities for our stakeholders and making a positive contribution in the communities where we operate.

Legal Entity Identifier: 213800XKDG12NQG8VC53

For further information, please visit www.lionfinancegroup.uk or contact:

Sam Goodacre Nini Arshakuni
Adviser to the CEO Head of Investor Relations
+44 203 178 4034 +44 203 178 4034
[email protected] [email protected]

This news report is presented for general informational purposes only and should not be construed as an offer to sell or the solicitation of an offer to buy any securities

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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