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Intercontinental Hotels Group PLC

Transaction in Own Shares Oct 22, 2024

5306_rns_2024-10-22_23085338-6a86-42e2-b605-d39a767ccfbf.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 0309J

InterContinental Hotels Group PLC

22 October 2024

22 October 2024

InterContinental Hotels Group PLC (the Company)

Purchase of own shares

The Company announces that on 21 October 2024 it purchased the following number of its ordinary shares of 20340/399pence each through Goldman Sachs International ("GSI") on the London Stock Exchange in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 3 May 2024 (the "Purchase"). The Purchase was effected pursuant to instructions issued by the Company on 20 February 2024, as announced on 20 February 2024 .

Date of purchase: 21 October 2024
Aggregate number of ordinary shares purchased: 3,000
Lowest price paid per share: £ 85.8200
Highest price paid per share: £ 86.5400
Average price paid per share: £ 86.2047

The Company intends to cancel the purchased shares.

Following the above transaction, the Company has 159,225,452 ordinary shares in issue (excluding 6,956,782 held in treasury).

A full breakdown of the individual purchases by GSI is included below.

Enquiries to:

InterContinental Hotels Group PLC:

Investor Relations: Stuart Ford (+44 (0)7823 828 739);

Joe Simpson (+44 (0)7976 862 072)

Media Relations: Mike Ward (+44 (0)7795 257 407)

Schedule of Purchases

Shares purchased: 3,000 (ISIN: GB00BHJYC057)

Date of purchases: 21 October 2024

Investment firm: GSI

Aggregated information:

London Stock Exchange Cboe BXE Cboe CXE Turquoise
Number of ordinary shares purchased 3,000
Highest price paid (per ordinary share) £ 86.5400
Lowest price paid (per ordinary share) £ 85.8200
Volume weighted average price paid(per ordinary share) £ 86.2047

Detailed information:

Transaction Date Time Time Zone Volume Price (GBP) Trading Venue Transaction ID
21/10/2024 09:52:19 BST 40 86.0800 XLON 1092296762200255
21/10/2024 09:53:07 BST 45 86.0800 XLON 1092296762200315
21/10/2024 09:56:45 BST 71 86.1000 XLON 1092296762200502
21/10/2024 09:56:45 BST 41 86.0800 XLON 1092296762200505
21/10/2024 09:57:35 BST 53 86.0800 XLON 1092296762200615
21/10/2024 10:34:15 BST 63 86.1800 XLON 1092296762202471
21/10/2024 10:36:37 BST 48 86.2000 XLON 1092296762202640
21/10/2024 10:36:37 BST 46 86.1800 XLON 1092296762202643
21/10/2024 10:46:13 BST 20 86.1800 XLON 1092296762203081
21/10/2024 10:46:13 BST 58 86.1800 XLON 1092296762203082
21/10/2024 11:18:01 BST 41 86.3200 XLON 1092296762204791
21/10/2024 11:19:19 BST 76 86.3400 XLON 1092296762204891
21/10/2024 11:51:26 BST 44 86.3800 XLON 1092296762206760
21/10/2024 11:57:43 BST 78 86.3400 XLON 1092296762207033
21/10/2024 12:16:16 BST 60 86.3800 XLON 1092296762207954
21/10/2024 12:36:10 BST 6 86.2200 XLON 1092296762208625
21/10/2024 12:49:18 BST 40 86.1600 XLON 1092296762209535
21/10/2024 12:57:16 BST 29 86.1600 XLON 1092296762209788
21/10/2024 12:57:16 BST 43 86.1600 XLON 1092296762209789
21/10/2024 13:19:05 BST 63 86.2400 XLON 1092296762210748
21/10/2024 13:50:30 BST 49 86.1600 XLON 1092296762211866
21/10/2024 13:57:29 BST 71 86.1800 XLON 1092296762212064
21/10/2024 14:34:38 BST 40 86.0800 XLON 1092296762213571
21/10/2024 14:38:07 BST 1 86.1000 XLON 1092296762213778
21/10/2024 14:38:24 BST 39 86.1000 XLON 1092296762213780
21/10/2024 14:46:14 BST 45 86.1000 XLON 1092296762214178
21/10/2024 14:51:09 BST 45 86.1200 XLON 1092296762214361
21/10/2024 15:00:03 BST 50 86.1400 XLON 1092296762214715
21/10/2024 15:10:11 BST 40 86.2600 XLON 1092296762215358
21/10/2024 15:17:39 BST 67 86.3200 XLON 1092296762215917
21/10/2024 15:28:00 BST 61 86.4800 XLON 1092296762216611
21/10/2024 15:33:34 BST 62 86.3600 XLON 1092296762217612
21/10/2024 15:36:47 BST 60 86.4200 XLON 1092296762217882
21/10/2024 15:41:25 BST 38 86.4600 XLON 1092296762218350
21/10/2024 15:41:25 BST 25 86.4600 XLON 1092296762218351
21/10/2024 15:47:02 BST 61 86.5200 XLON 1092296762218923
21/10/2024 15:51:02 BST 61 86.5400 XLON 1092296762219428
21/10/2024 15:56:04 BST 50 86.4400 XLON 1092296762220093
21/10/2024 15:56:04 BST 6 86.4400 XLON 1092296762220094
21/10/2024 16:00:02 BST 65 86.4200 XLON 1092296762220590
21/10/2024 16:04:20 BST 63 86.3200 XLON 1092296762221097
21/10/2024 16:09:34 BST 62 86.2200 XLON 1092296762221504
21/10/2024 16:13:48 BST 59 86.2000 XLON 1092296762221885
21/10/2024 16:20:49 BST 58 86.3400 XLON 1092296762222714
21/10/2024 16:20:49 BST 5 86.3400 XLON 1092296762222715
21/10/2024 16:24:15 BST 59 86.3400 XLON 1092296762223827
21/10/2024 16:31:00 BST 63 86.2200 XLON 1092296762224483
21/10/2024 16:34:02 BST 51 86.2800 XLON 1092296762224904
21/10/2024 16:34:02 BST 9 86.2800 XLON 1092296762224905
21/10/2024 16:40:04 BST 19 86.2200 XLON 1092296762225516
21/10/2024 16:40:04 BST 42 86.2200 XLON 1092296762225517
21/10/2024 16:47:43 BST 69 86.1400 XLON 1092296762226456
21/10/2024 16:55:51 BST 1 86.1600 XLON 1092296762227330
21/10/2024 16:55:51 BST 50 86.1600 XLON 1092296762227331
21/10/2024 16:59:20 BST 40 86.1000 XLON 1092296762227927
21/10/2024 17:05:55 BST 76 86.0400 XLON 1092296762229157
21/10/2024 17:09:56 BST 11 85.9000 XLON 1092296762229753
21/10/2024 17:09:56 BST 39 85.9000 XLON 1092296762229754
21/10/2024 17:15:16 BST 5 85.9800 XLON 1092296762230485
21/10/2024 17:15:16 BST 57 85.9800 XLON 1092296762230486
21/10/2024 17:21:31 BST 51 85.9000 XLON 1092296762231457
21/10/2024 17:21:59 BST 54 85.9000 XLON 1092296762231583
21/10/2024 17:25:49 BST 72 85.8200 XLON 1092296762232432
21/10/2024 17:28:31 BST 15 85.8200 XLON 1092296762232988
21/10/2024 17:28:31 BST 5 85.8200 XLON 1092296762232989
21/10/2024 17:28:31 BST 64 85.8200 XLON 1092296762232990

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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