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

EAGLE EYE SOLUTIONS GROUP PLC

Transaction in Own Shares Dec 15, 2025

7608_pos_2025-12-15_b1dc9113-64ff-4265-a840-95fd3165a3d8.html

Transaction in Own Shares

Open in Viewer

Opens in native device viewer

National Storage Mechanism | Additional information

RNS Number : 4505L

Eagle Eye Solutions Group PLC

15 December 2025

15th December 2025                                              

Fevertree Drinks plc

("Fever-Tree" or the "Company")

Transaction in Own Shares

Fevertree Drinks plc ("Fever-Tree" or the "Company") announces today it has, in accordance with the authority granted by shareholders at its 2024 Annual General Meeting held on 6th June, purchased the following number of ordinary shares of £0.0025 each in the Company (the "Ordinary Shares") through the Company's broker, Investec Bank plc ("Investec"), as detailed below.

Ordinary Shares

Date of purchase: 12th December 2025
Number of ordinary shares purchased: 14,418
Lowest price per share (pence): 827.00
Highest price per share (pence): 834.00
Weighted average price per day (pence): 830.5448

The Company intends to cancel the purchased shares.

The table below contains detailed information about the purchases made as part of the buyback programme which was announced by the Company on 17th February 2025 (the "Programme").

Aggregate information:

Venue Volume-weighted average price (p) Aggregated volume Lowest price per share (p) Highest price per share (p)
XLON 830.4697 12,377 827.00 834.00
AIMX 831.00 2,041 831.00 831.00

Schedule of Purchases - Individual Transactions

In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 as it forms part of UK law, a full breakdown of the individual trades made by Investec on behalf of the Company as part of the Programme is detailed below:

Date and time of each trade Number of shares purchased Price (pence per share) Trading Venue Transaction Reference Number
12 December 2025 08:04:31 36 833.00 XLON 00365733246TRLO1
12 December 2025 08:04:31 97 833.00 XLON 00365733245TRLO1
12 December 2025 08:08:17 58 831.00 XLON 00365735896TRLO1
12 December 2025 08:08:17 226 831.00 XLON 00365735897TRLO1
12 December 2025 08:18:30 136 833.00 XLON 00365741785TRLO1
12 December 2025 08:18:37 278 832.00 XLON 00365741893TRLO1
12 December 2025 08:19:52 271 832.00 XLON 00365742729TRLO1
12 December 2025 08:27:24 267 831.00 XLON 00365747291TRLO1
12 December 2025 08:37:39 9 834.00 XLON 00365752913TRLO1
12 December 2025 08:41:11 282 834.00 XLON 00365755079TRLO1
12 December 2025 08:45:28 270 834.00 XLON 00365757373TRLO1
12 December 2025 08:46:43 269 833.00 XLON 00365758200TRLO1
12 December 2025 08:57:00 284 834.00 XLON 00365764037TRLO1
12 December 2025 09:00:02 134 833.00 XLON 00365765751TRLO1
12 December 2025 09:00:39 139 832.00 XLON 00365766125TRLO1
12 December 2025 09:08:00 134 832.00 XLON 00365771182TRLO1
12 December 2025 09:08:00 133 832.00 XLON 00365771183TRLO1
12 December 2025 09:08:52 142 831.00 XLON 00365771820TRLO1
12 December 2025 09:13:20 142 831.00 XLON 00365774986TRLO1
12 December 2025 09:13:21 67 830.00 XLON 00365774993TRLO1
12 December 2025 09:22:31 142 830.00 XLON 00365780557TRLO1
12 December 2025 09:30:08 281 829.00 XLON 00365784553TRLO1
12 December 2025 09:42:03 289 830.00 XLON 00365794736TRLO1
12 December 2025 10:02:54 70 831.00 XLON 00365807253TRLO1
12 December 2025 10:02:54 33 831.00 XLON 00365807254TRLO1
12 December 2025 10:10:12 143 833.00 XLON 00365807472TRLO1
12 December 2025 10:17:26 143 832.00 XLON 00365807707TRLO1
12 December 2025 10:17:26 142 832.00 XLON 00365807708TRLO1
12 December 2025 10:17:26 143 832.00 XLON 00365807709TRLO1
12 December 2025 10:21:57 206 832.00 XLON 00365807957TRLO1
12 December 2025 10:27:22 414 830.00 XLON 00365808175TRLO1
12 December 2025 10:27:22 138 830.00 XLON 00365808176TRLO1
12 December 2025 10:27:22 137 830.00 XLON 00365808177TRLO1
12 December 2025 11:00:45 434 829.00 XLON 00365809528TRLO1
12 December 2025 11:00:45 27 829.00 XLON 00365809529TRLO1
12 December 2025 11:00:45 118 829.00 XLON 00365809530TRLO1
12 December 2025 11:00:45 144 829.00 XLON 00365809531TRLO1
12 December 2025 11:00:45 69 830.00 XLON 00365809532TRLO1
12 December 2025 11:00:45 342 830.00 XLON 00365809533TRLO1
12 December 2025 11:00:45 7 830.00 XLON 00365809534TRLO1
12 December 2025 11:02:24 146 829.00 XLON 00365809569TRLO1
12 December 2025 11:12:49 137 829.00 XLON 00365810131TRLO1
12 December 2025 11:12:49 84 829.00 XLON 00365810132TRLO1
12 December 2025 11:12:49 52 829.00 XLON 00365810133TRLO1
12 December 2025 11:21:18 143 829.00 XLON 00365810382TRLO1
12 December 2025 11:21:18 108 829.00 XLON 00365810383TRLO1
12 December 2025 11:21:18 35 829.00 XLON 00365810384TRLO1
12 December 2025 11:30:21 134 827.00 XLON 00365810696TRLO1
12 December 2025 11:35:17 11 828.00 XLON 00365810870TRLO1
12 December 2025 11:35:17 9 828.00 XLON 00365810871TRLO1
12 December 2025 11:35:17 127 828.00 XLON 00365810872TRLO1
12 December 2025 11:45:58 84 828.00 XLON 00365811154TRLO1
12 December 2025 11:45:58 63 828.00 XLON 00365811155TRLO1
12 December 2025 12:03:29 166 829.00 XLON 00365811705TRLO1
12 December 2025 12:06:40 127 829.00 XLON 00365811804TRLO1
12 December 2025 12:06:40 20 829.00 XLON 00365811805TRLO1
12 December 2025 12:07:06 137 828.00 XLON 00365811817TRLO1
12 December 2025 12:15:13 143 828.00 XLON 00365812052TRLO1
12 December 2025 12:15:13 142 828.00 XLON 00365812053TRLO1
12 December 2025 12:30:00 67 828.00 XLON 00365812442TRLO1
12 December 2025 12:30:00 370 828.00 XLON 00365812443TRLO1
12 December 2025 12:34:17 69 830.00 XLON 00365812550TRLO1
12 December 2025 12:57:35 1,309 831.00 XLON 00365813096TRLO1
12 December 2025 13:06:27 284 830.00 XLON 00365813291TRLO1
12 December 2025 13:18:04 269 830.00 XLON 00365813515TRLO1
12 December 2025 13:18:04 134 830.00 XLON 00365813516TRLO1
12 December 2025 13:18:08 191 830.00 XLON 00365813517TRLO1
12 December 2025 13:18:42 145 830.00 XLON 00365813521TRLO1
12 December 2025 13:28:06 285 829.00 XLON 00365813786TRLO1
12 December 2025 13:52:40 140 829.00 XLON 00365814875TRLO1
12 December 2025 13:52:40 141 829.00 XLON 00365814876TRLO1
12 December 2025 13:52:40 72 829.00 XLON 00365814877TRLO1
12 December 2025 13:52:40 68 829.00 XLON 00365814878TRLO1
12 December 2025 14:05:27 161 830.00 XLON 00365815385TRLO1
12 December 2025 14:05:27 8 830.00 XLON 00365815386TRLO1
12 December 2025 14:35:11 2,041 831.00 AIMX 00365817417TRLO1

For further information please contact:

Investor queries

Steve Nightingale, Director of Investor Relations I [email protected] I +44 (0)7951 849564

Media queries

Oliver Winters, Director of Communications I [email protected] I +44 (0)770 332 9024  

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

POSFLFIRFTLFLIE

Talk to a Data Expert

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