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Intertek Group PLC

Transaction in Own Shares Sep 2, 2025

4819_pos_2025-09-02_9d0930d6-e625-401f-9d3e-eaac3a47e213.html

Transaction in Own Shares

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National Storage Mechanism | Additional information RNS Number : 5452X Intertek Group PLC 02 September 2025 Transactions in own shares Intertek Group plc (the Company) announces that it has purchased the following number of its ordinary shares of 0.01 pence each through J.P. Morgan Securities plc, pursuant to the terms of its Share Buyback Programme announced on 24 March 2025. Date of purchase: 1 September 2025 Aggregate number of ordinary shares purchased: 149,854 Lowest price paid per share: 4,652.0000 Highest price paid per share: 4,668.0000 Volume weighted average price paid per share (pence per share): 4,665.0587 The ordinary share purchases have been made in accordance with the authority granted by shareholders at the 2025 Annual General Meeting. The Company intends to cancel the purchased shares. Following the above transaction, the Company holds none of its ordinary shares in treasury and has 156,039,958 ordinary shares in issue (excluding treasury shares). Therefore, the total voting rights in the Company will be 156,039,958. This figure may be used by shareholders (and others with notification obligations) 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. In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), the table below contains detailed information of the individual trades made by J.P. Morgan Securities plc as part of the Share Buyback Programme. Since the commencement of the Share Buyback Programme to repurchase up to ��350 million of ordinary shares, as announced on 24 March 2025, the Company has purchased 5,353,169 ordinary shares for a total consideration of ��252,064,585.77. Enquiries: For further information, please contact: Denis Moreau, Investor Relations Telephone: +44 (0) 20 7396 3415 [email protected] Jonathon Brill/James Styles, DGA Group Telephone: +44 (0) 7836 622 683 [email protected] Schedule of Purchases Issuer Name Intertek Group plc ISIN GB0031638363 Intermediary Name J.P. Morgan Securities plc Time Zone UKT Currency GBP Aggregate Information: Venue Volume-weighted average price Aggregate volume Lowest price per share Highest price per share London Stock Exchange 4,664.3600 60,370 4,652.0000 4,666.0000 CBOE Europe 4,665.4946 53,339 4,652.0000 4,668.0000 Chi-X Europe 4,666.0574 20,219 4,658.0000 4,668.0000 Aquis Stock Exchange 4,664.8392 9,314 4,658.0000 4,666.0000 Turquoise 4,665.1779 6,612 4,658.0000 4,666.0000 Individual Transactions: Time Volume Price (GBp) Trading Venue Transaction Reference Number 10:37:57 27 4,666.0000 CHIX 08512085100070013-120000MJR 10:38:29 73 4,666.0000 XLON 07002070000005457-E0OL8lHiqNya 10:39:00 134 4,666.0000 XLON 05002050000070107-E0OL8lHiqOAs 10:39:00 37 4,666.0000 XLON 05002050000070324-E0OL8lHiqOAu 10:39:00 139 4,666.0000 XLON 07002070000073989-E0OL8lHiqOB4 10:39:00 217 4,666.0000 XLON 05002050000070900-E0OL8lHiqOAw 10:39:00 34 4,666.0000 CHIX 06262062600073997-120000ML8 10:39:00 141 4,666.0000 CHIX 06262062600073997-120000ML9 10:39:00 308 4,666.0000 CHIX 08512085100070013-120000ML6 10:39:00 325 4,666.0000 BATE 08492084900070494-20000HQQ 10:39:00 18 4,666.0000 BATE 08492084900076693-20000HQS 10:39:00 137 4,666.0000 BATE 08492084900076693-20000HQT 10:39:00 32 4,666.0000 BATE 08492084900077331-20000HQU 10:41:49 50 4,666.0000 BATE 08492084900077358-20000HVV 10:43:33 3 4,666.0000 BATE 06242062400078170-20000I0H 10:45:09 18 4,666.0000 XLON 05002050000074781-E0OL8lHiqRww 10:45:09 52 4,666.0000 BATE 06242062400078170-20000I4C 10:46:49 18 4,666.0000 XLON 05002050000074781-E0OL8lHiqSh4 10:48:29 53 4,666.0000 XLON 05002050000074781-E0OL8lHiqTXm 10:48:29 18 4,666.0000 XLON 05002050000074781-E0OL8lHiqTXv 10:50:09 30 4,666.0000 XLON 05002050000074781-E0OL8lHiqUBM 10:50:09 24 4,666.0000 XLON 05002050000074236-E0OL8lHiqUBO 10:50:09 104 4,666.0000 XLON 05002050000074236-E0OL8lHiqUBX 10:50:09 3 4,666.0000 XLON 07002070000075038-E0OL8lHiqUBb 10:50:09 51 4,666.0000 XLON 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AQXE 0616B89751 16:27:17 15 4,664.0000 AQXE 0616B89752 16:27:40 37 4,664.0000 AQXE 0616B89964 16:27:40 53 4,664.0000 AQXE 0841B89965 16:27:53 52 4,664.0000 CHIX 08512085100220855-120001IBJ 16:27:53 52 4,664.0000 CHIX 06262062600221135-120001IBL 16:27:53 52 4,664.0000 CHIX 08512085100220856-120001IBK 16:27:53 11 4,664.0000 CHIX 08512085100221018-120001IBM 16:29:55 306 4,666.0000 BATE 08492084900271109-D20001BV5 16:29:57 2,165 4,666.0000 XLON 05002050000199548-E0OL8lHitZcM 16:29:57 1,269 4,666.0000 CHIX 08512085100223209-120001JBC 16:29:57 265 4,666.0000 TRQX 08252082500106744-E0OL7VZTsd7z This information is provided by RNS, the news service of the London Stock Exchange. 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