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Sage Group PLC

Transaction in Own Shares Dec 9, 2025

5322_pos_2025-12-09_742e7cd5-f846-4b89-ba54-e2b5eb5579ad.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 8967K

Sage Group PLC (The)

09 December 2025

THE SAGE GROUP PLC

TRANSACTION IN OWN SHARES

The Sage Group plc ("Sage" or the "Group") announces today that it has purchased the following number of its ordinary shares of 1 4/77 pence each on the London Stock Exchange and Multilateral Trading Facilities from J.P. Morgan Securities plc (''J.P. Morgan''). This is pursuant to the share buyback programme announced on 19 November 2025 which is expected to end no later than 19 March 2026.

Ordinary Shares

Date of purchase: 9 December 2025
Number of ordinary shares purchased: 9,270
Highest price paid per share: 1,072.0000
Lowest price paid per share: 1,070.5000
Volume weighted average price paid per share: 1,071.5715

Sage will cancel all the purchased shares.

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), a schedule of individual trades by J.P. Morgan is available below.

Issuer Name: SAGE GROUP PLC/THE

LEI: 2138005RN5XYLTF8G138

ISIN: GB00B8C3BL03

Intermediary name: J.P. Morgan Securities plc

Identity code: K6Q0W1PS1L1O4IQL9C32

Schedule of Purchases

Time (UKT) Volume Price (GBp) Trading Venue Transaction Reference Number
08:00:42 571 1,072.0000 XLON 05003050000004500-E0PUwMpFUp9J
08:00:42 1,238 1,072.0000 XLON 07003070000004571-E0PUwMpFUp9L
08:00:42 113 1,072.0000 XLON 05003050000004529-E0PUwMpFUp9R
08:00:42 343 1,072.0000 XLON 05003050000004529-E0PUwMpFUp9X
08:00:42 496 1,072.0000 XLON 07003070000004572-E0PUwMpFUp9N
08:00:42 381 1,072.0000 XLON 07003070000004594-E0PUwMpFUp9P
08:03:20 428 1,072.0000 XLON 07003070000005067-E0PUwMpFUuYi
08:03:38 467 1,072.0000 XLON 05003050000005073-E0PUwMpFUunG
08:03:38 276 1,072.0000 XLON 07003070000005067-E0PUwMpFUunE
08:05:04 523 1,071.5000 XLON 05003050000005385-E0PUwMpFUwfC
08:05:15 251 1,070.5000 XLON 07003070000005221-E0PUwMpFUwzA
08:06:44 630 1,071.5000 XLON 05003050000005644-E0PUwMpFUyUL
08:06:51 219 1,070.5000 XLON 07003070000005472-E0PUwMpFUynn
08:06:51 162 1,070.5000 XLON 07003070000005472-E0PUwMpFUynp
08:06:51 405 1,070.5000 XLON 07003070000005625-E0PUwMpFUynt
08:08:24 537 1,071.0000 XLON 07003070000005986-E0PUwMpFV12x
08:09:13 309 1,070.5000 XLON 07003070000006079-E0PUwMpFV1rq
08:10:13 359 1,071.5000 XLON 07003070000006189-E0PUwMpFV2qG
08:11:51 299 1,071.5000 XLON 07003070000006347-E0PUwMpFV4PB
08:12:06 234 1,071.0000 XLON 05003050000006130-E0PUwMpFV4fk
08:12:06 100 1,071.0000 XLON 05003050000006130-E0PUwMpFV4fp
08:14:01 257 1,072.0000 XLON 05003050000006513-E0PUwMpFV6xL
08:15:42 318 1,072.0000 XLON 07003070000006890-E0PUwMpFV8lx
08:16:56 354 1,071.5000 XLON 07003070000007773-E0PUwMpFV9r7

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.

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