AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Bytes Technology Group PLC

Transaction in Own Shares Sep 12, 2025

5048_pos_2025-09-12_0c6b7ab2-3521-4166-a931-c6653babf50d.html

Transaction in Own Shares

Open in Viewer

Opens in native device viewer

National Storage Mechanism | Additional information

RNS Number : 0360Z

Bytes Technology Group PLC

12 September 2025

12 September 2025

Bytes Technology Group plc

("BTG", or the "Company")

Transaction in Own Shares

BTG announces that on 11 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): 418.0036
Highest price paid per share (GBP): 420.00
Lowest price paid per share (GBP): 413.40

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 241,354,267 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
1034 420.00 09:27:02 XLON
947 420.00 09:27:02 XLON
889 420.00 09:27:02 XLON
929 420.00 09:27:02 XLON
1350 420.00 09:27:02 XLON
1056 419.80 09:27:03 XLON
812 420.00 09:29:29 XLON
764 420.00 09:29:29 XLON
98 420.00 09:40:20 XLON
402 420.00 09:40:20 XLON
142 420.00 10:11:50 XLON
376 420.00 10:17:27 XLON
435 420.00 10:36:26 XLON
844 420.00 10:36:26 XLON
945 420.00 10:36:26 XLON
745 420.00 10:36:26 XLON
924 420.00 10:36:26 XLON
115 420.00 10:36:26 XLON
331 420.00 10:36:26 XLON
973 420.00 10:41:08 XLON
880 420.00 10:41:08 XLON
855 420.00 10:41:08 XLON
536 420.00 10:41:08 XLON
382 419.80 10:46:44 XLON
380 419.80 10:47:45 XLON
949 419.80 10:47:45 XLON
74 419.80 10:47:45 XLON
672 419.60 10:49:02 XLON
175 419.60 10:49:02 XLON
113 419.60 10:49:02 XLON
2 419.60 10:58:18 XLON
242 419.60 10:59:10 XLON
602 419.60 10:59:10 XLON
828 418.60 11:00:48 XLON
799 418.40 11:00:48 XLON
573 418.20 11:12:29 XLON
270 418.20 11:12:29 XLON
814 418.00 11:12:51 XLON
69 417.60 11:17:11 XLON
912 418.00 11:23:28 XLON
821 418.00 11:23:28 XLON
516 418.00 11:27:28 XLON
844 418.00 11:31:41 XLON
842 418.00 11:31:41 XLON
113 418.80 11:41:24 XLON
160 418.80 11:41:24 XLON
1950 419.00 11:55:56 XLON
1313 418.80 11:55:58 XLON
787 418.20 12:01:32 XLON
851 418.00 12:01:32 XLON
861 418.00 12:18:48 XLON
892 418.80 12:31:38 XLON
382 418.60 12:31:48 XLON
650 418.60 12:31:48 XLON
311 419.40 12:37:50 XLON
817 419.40 12:43:00 XLON
472 419.40 12:43:00 XLON
792 420.00 13:01:26 XLON
967 419.80 13:01:45 XLON
1002 419.60 13:01:56 XLON
932 419.00 13:14:00 XLON
668 418.80 13:17:49 XLON
281 418.80 13:17:49 XLON
183 418.60 13:17:50 XLON
382 418.60 13:17:50 XLON
227 418.60 13:17:58 XLON
920 418.80 13:30:03 XLON
908 418.60 13:30:04 XLON
841 418.80 13:30:19 XLON
965 418.80 13:32:41 XLON
833 418.80 13:32:41 XLON
846 418.60 13:32:53 XLON
93 418.60 13:34:59 XLON
859 418.60 13:34:59 XLON
832 418.40 13:36:21 XLON
889 418.40 13:36:21 XLON
969 418.00 13:36:45 XLON
1132 419.00 13:44:22 XLON
535 419.20 13:45:30 XLON
389 419.20 13:45:30 XLON
134 419.40 13:49:42 XLON
175 419.20 13:49:42 XLON
989 419.60 13:55:55 XLON
384 419.60 13:55:55 XLON
1180 419.60 13:58:16 XLON
239 419.60 13:58:16 XLON
516 420.00 14:07:08 XLON
782 420.00 14:07:57 XLON
645 420.00 14:07:57 XLON
397 420.00 14:07:57 XLON
102 419.60 14:12:42 XLON
145 419.20 14:14:02 XLON
154 419.20 14:14:02 XLON
8 419.20 14:14:02 XLON
966 419.20 14:15:38 XLON
67 419.20 14:15:38 XLON
287 419.20 14:15:38 XLON
382 419.20 14:15:38 XLON
33 419.00 14:16:18 XLON
842 419.00 14:16:18 XLON
197 418.60 14:16:50 XLON
249 418.60 14:16:50 XLON
403 418.60 14:16:50 XLON
1651 419.00 14:28:01 XLON
128 419.00 14:28:01 XLON
264 419.00 14:28:01 XLON
1893 419.00 14:28:01 XLON
2618 419.00 14:28:01 XLON
382 418.20 14:28:41 XLON
420 418.20 14:28:41 XLON
431 418.20 14:28:41 XLON
515 418.20 14:28:41 XLON
836 417.60 14:30:13 XLON
25000 417.80 14:34:25 XLON
1037 417.40 14:35:13 XLON
398 417.00 14:35:13 XLON
749 417.00 14:35:13 XLON
1557 417.80 14:35:30 XLON
858 417.40 14:35:31 XLON
808 417.20 14:37:39 XLON
1024 417.00 14:37:47 XLON
960 416.80 14:42:58 XLON
539 416.00 14:50:28 XLON
270 416.00 14:50:28 XLON
958 414.60 14:55:05 XLON
925 414.40 14:55:05 XLON
944 413.60 15:01:44 XLON
390 413.40 15:09:33 XLON
1129 413.40 15:10:30 XLON
813 413.80 15:10:50 XLON
106 414.20 15:14:13 XLON
786 414.20 15:14:13 XLON
415 413.80 15:14:43 XLON
537 413.80 15:14:43 XLON
921 414.40 15:19:04 XLON
939 413.80 15:25:16 XLON
866 413.60 15:30:45 XLON
2 414.40 15:41:00 XLON
300 414.40 15:41:10 XLON
861 414.60 15:44:24 XLON
934 414.60 15:44:24 XLON
160 414.60 15:44:24 XLON
989 414.40 15:44:27 XLON
407 415.20 15:51:08 XLON
388 415.20 15:51:08 XLON
940 415.00 15:51:45 XLON
266 414.80 15:52:47 XLON
396 414.80 15:53:08 XLON
216 414.80 15:53:08 XLON
287 416.00 15:59:10 XLON
284 416.00 15:59:10 XLON
253 416.00 15:59:10 XLON
45 416.00 15:59:10 XLON
880 415.80 15:59:28 XLON
931 415.60 15:59:29 XLON
793 415.80 16:04:45 XLON
400 415.80 16:07:43 XLON
54 415.80 16:07:43 XLON
505 416.00 16:07:43 XLON
42 415.80 16:07:43 XLON
59 415.60 16:11:11 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.

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.

END

POSQFLFFEKLLBBF

Talk to a Data Expert

Have a question? We'll get back to you promptly.