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REG-Fuller, Smith & Turner PLC Fuller, Smith & Turner PLC: Transaction in own shares

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   Fuller, Smith & Turner PLC (FSTA)
   Fuller, Smith & Turner PLC: Transaction in own shares

   23-Sep-2025 / 07:00 GMT/BST

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          Fuller, Smith & Turner P.L.C. (“the Company” or “Fuller’s”)

    

                           Transaction in own shares

                                        

                                        

   The Company announces that  it has purchased the  following number of  its
   “A” Ordinary Shares of 40p each on the London Stock Exchange through Numis
   Securities Limited as part of its share buyback programme announced on  28
   August 2025 (the “Programme”).

    

   Date of Purchase                          22/09/2025
   Number of “A” Ordinary Shares of 40p each      3,862
   Highest price paid per share (GBp)            564.00
   Lowest price paid per share (GBp)             564.00
   Average price paid per share (GBp)          564.0000

      

   The Company intends to hold the repurchased shares in Treasury.

   Following the purchase of  the said shares,  Fuller’s listed issued  share
   capital consists of 36,391,365  “A” Ordinary Shares of  40p each. Of  this
   total 3,848,931 “A” Ordinary Shares  are held in Treasury. Therefore,  the
   total number of  listed voting rights  in the Company  for the purpose  of
   Disclosure and  Transparency Rule  5.6.1  (calculated in  accordance  with
   Disclosure and Transparency Rule 5.6.2) is 32,542,434. This number may  be
   used by shareholders 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  Fuller’s, under  the FCA's  Disclosure  and
   Transparency Rules.

   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 Market Abuse Regulation), the schedule below contains  detailed
   information about the purchases made.

    

   Enquiries:

   Rachel Spencer

   Company Secretary

   020 8996 2073

    

   23 September 2025

    

   SCHEDULE OF PURCHASES

    

   Shares Purchased: “A” Ordinary Shares of 40p each

   Date of Purchase: 22 September 2025

   Investment Firm: Numis Securities Limited

    

   Aggregate Information:

    

   Volume-weighted average price, pence Aggregated volume
   564.000                              3,862

    

   Individual Transactions:

    

   Number of     Transaction      Time of         Transaction reference
   shares        price, pence     transaction     number                Venue
   purchased     (per share)
   69            564.00            09:43:54       00077107897TRLO0      XLON
   86            564.00            11:28:22       00077109861TRLO0      XLON
   3500          564.00            11:44:33       00077110199TRLO0      XLON
   94            564.00            12:18:42       00077111093TRLO0      XLON
   16            564.00            13:26:38       00077112530TRLO0      XLON
   96            564.00            13:27:32       00077112543TRLO0      XLON
   1             564.00            14:32:53       00077114290TRLO0      XLON

                                        

                                   ---End---

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   Dissemination of a Regulatory Announcement, transmitted by EQS Group.
   The issuer is solely responsible for the content of this announcement.

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   ISIN:           GB00B1YPC344
   Category Code:  POS
   TIDM:           FSTA
   LEI Code:       213800C7ACOFMRCQQW76
   OAM Categories: 2.4. Acquisition or disposal of the issuer's own shares
   Sequence No.:   402777
   EQS News ID:    2201886


    
   End of Announcement EQS News Service

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