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Bytes Technology Group PLC

Transaction in Own Shares Aug 27, 2025

5048_pos_2025-08-27_6123e28d-2744-414d-bb1b-a9751c65b494.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 7466W

Bytes Technology Group PLC

27 August 2025

27 August 2025

Bytes Technology Group plc

("BTG", or the "Company")

Transaction in Own Shares

BTG announces that on 26 August 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: 100,000
Volume weighted average price paid per share (GBP): 399.6546
Highest price paid per share (GBP): 403.20
Lowest price paid per share (GBP): 396.00

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 242,311,605 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
748 400.20 08:22:08 XLON
30 399.80 08:22:19 XLON
696 399.80 08:22:19 XLON
743 399.20 08:25:10 XLON
741 399.20 08:32:05 XLON
574 400.60 08:38:10 XLON
128 400.60 08:42:35 XLON
802 400.60 08:42:35 XLON
868 400.00 08:43:18 XLON
673 400.20 08:47:19 XLON
179 400.00 08:50:30 XLON
625 400.00 08:50:30 XLON
718 400.20 09:00:00 XLON
742 400.20 09:00:00 XLON
794 399.80 09:01:25 XLON
726 400.00 09:10:23 XLON
515 401.00 09:19:45 XLON
205 401.00 09:19:45 XLON
716 401.00 09:20:32 XLON
122 400.80 09:22:28 XLON
904 400.80 09:22:28 XLON
18 400.20 09:26:27 XLON
379 400.20 09:26:27 XLON
383 400.20 09:26:49 XLON
733 399.60 09:26:50 XLON
696 398.00 09:32:12 XLON
665 396.20 09:35:30 XLON
721 399.00 09:50:44 XLON
766 399.00 09:52:36 XLON
232 399.80 09:57:17 XLON
416 399.80 09:57:17 XLON
676 400.00 10:01:00 XLON
749 399.80 10:01:01 XLON
174 400.20 10:05:50 XLON
558 400.20 10:05:50 XLON
748 400.20 10:11:41 XLON
248 400.60 10:14:33 XLON
410 400.60 10:14:33 XLON
107 400.20 10:18:50 XLON
627 400.20 10:18:50 XLON
675 400.00 10:21:16 XLON
290 400.00 10:23:48 XLON
439 400.00 10:23:48 XLON
611 399.60 10:23:59 XLON
164 399.60 10:23:59 XLON
429 399.00 10:32:18 XLON
307 399.00 10:32:20 XLON
663 398.60 10:39:11 XLON
669 398.60 10:49:04 XLON
795 398.00 10:49:55 XLON
750 398.60 11:06:51 XLON
800 399.00 11:09:06 XLON
655 398.80 11:15:32 XLON
725 398.80 11:15:32 XLON
51 399.00 11:15:37 XLON
30000 399.10 11:15:40 XLON
717 399.20 11:19:46 XLON
655 399.00 11:19:46 XLON
406 398.40 11:30:15 XLON
332 398.40 11:30:15 XLON
733 398.00 11:42:29 XLON
152 398.40 11:52:00 XLON
588 398.40 11:52:00 XLON
770 396.00 11:57:37 XLON
253 396.40 12:16:50 XLON
27 396.40 12:16:50 XLON
496 396.40 12:16:50 XLON
703 396.60 12:20:17 XLON
207 396.20 12:22:44 XLON
460 396.20 12:22:44 XLON
664 397.00 12:31:11 XLON
667 398.60 12:47:37 XLON
783 398.80 12:55:30 XLON
676 399.80 13:11:42 XLON
785 399.80 13:11:42 XLON
686 400.00 13:16:55 XLON
704 399.80 13:17:27 XLON
784 402.20 13:54:26 XLON
1691 402.20 13:54:26 XLON
755 402.00 13:59:00 XLON
755 401.80 13:59:45 XLON
691 403.20 14:14:07 XLON
705 403.20 14:14:07 XLON
807 402.80 14:16:40 XLON
695 402.60 14:20:33 XLON
401 402.00 14:20:51 XLON
350 402.00 14:21:08 XLON
681 401.00 14:25:08 XLON
666 401.00 14:30:17 XLON
73 401.00 14:31:03 XLON
712 402.00 14:35:21 XLON
779 401.60 14:35:55 XLON
756 400.40 14:40:20 XLON
694 401.00 14:45:28 XLON
796 401.00 14:50:08 XLON
52 401.00 14:53:17 XLON
651 401.00 14:53:30 XLON
94 401.20 14:57:54 XLON
580 401.20 14:57:54 XLON
469 401.00 15:01:43 XLON
575 402.20 15:11:18 XLON
784 401.60 15:12:41 XLON
798 401.40 15:12:41 XLON
42 401.20 15:17:52 XLON
748 401.20 15:17:52 XLON
278 401.00 15:19:55 XLON
437 401.00 15:19:57 XLON
498 400.00 15:24:32 XLON
234 400.00 15:24:32 XLON
420 399.60 15:35:27 XLON
24 399.60 15:37:06 XLON
278 399.60 15:37:06 XLON
750 399.60 15:37:06 XLON
118 399.60 15:44:18 XLON
632 399.60 15:44:18 XLON
742 400.00 15:47:01 XLON
651 400.00 15:49:04 XLON
171 400.00 15:51:31 XLON
618 400.00 15:51:31 XLON
340 399.80 15:57:42 XLON
335 399.80 15:57:42 XLON
793 399.40 16:00:24 XLON
173 398.40 16:03:50 XLON
265 398.40 16:04:23 XLON
25 398.40 16:04:45 XLON
267 398.40 16:05:09 XLON
41 398.40 16:05:09 XLON
680 399.00 16:10:08 XLON
2604 398.20 16:12:15 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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