For best results when printing this announcement, please click on link below:
https://newsfile.refinitiv.com/getnewsfile/v1/story?guid=urn:newsml:reuters.com:20251208:nRSH5348Ka&default-theme=true
RNS Number : 5348K Galliford Try Holdings PLC 08 December 2025
08 December 2025
Galliford Try Holdings plc
Transaction in Own Shares
GALLIFORD TRY HOLDINGS PLC ("Galliford Try", or the "Company") announces that
on 5 December 2025 it purchased the following number of its Ordinary shares of
50p each from Panmure Liberum Limited as part of the buyback programme
announced on 17 September 2025.
Date of Purchase 5 December 2025
Aggregate number of Ordinary 50p shares purchased 15,799
Lowest price paid per share (GBp) 517.00
Highest price paid per share (GBp) 529.00
Volume weighted average price paid per share (GBp) 524.06
Broker PANMURE LIBERUM LIMITED
Galliford Try intends to cancel the purchased shares.
Following settlement of the above purchases, Galliford Try has purchased a
total of 1,059,437 shares since the commencement of the buyback programme and
will have 101,217,089 ordinary shares of 50 pence each in issue. There are 0
shares held in treasury. This figure 101,217,089 represents the total number
of voting rights in Galliford Try and can be used by shareholders as the
denominator for the calculations by which they can determine if they are
required to notify their interest in, or change to their interest in, the
Company under the Financial Conduct Authority's Disclosure and Transparency
Rules.
Trading Venue / SI Volume-weighted average price paid per share (Gbp) Aggregated number of shares purchased
AQUIS (AQXE) - -
BATS (BATE) - -
Chi-X (CHIX) - -
Turquoise (TRQX) - -
London Stock Exchange (XLON) 524.06 15,799
Total 524.06 15,799
In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as such
Regulation has become part of domestic law by virtue of and for the purposes
of the European Union (Withdrawal) Act 2018 (as amended by the European Union
(Withdrawal Agreement) Act 2020) and as such Regulation has been amended in
such form by any regulations made under that Act), the schedule below contains
detailed and aggregated information of the individual trades made by Panmure
Liberum Limited as part of the buyback programme.
This announcement is made in accordance with the requirements of Listing Rule
9.6.6.
For further enquiries, please contact:
Kevin Corbett, General Counsel & Company Secretary 01895 855 001
Schedule of Purchases - Individual Transactions
Number of shares purchased Transaction price (GBp) Venue Time of transaction Trade ID
230 517 XLON 08:06:29.167 00042895585TRLO0
1220 518 XLON 08:07:22.913 00042895600TRLO0
329 521 XLON 08:12:04.637 00042895770TRLO0
296 521 XLON 08:15:00.037 00042895860TRLO0
299 521 XLON 08:18:00.014 00042895912TRLO0
1682 523 XLON 08:35:01.512 00042896328TRLO0
295 523 XLON 08:36:04.751 00042896381TRLO0
344 523 XLON 08:40:39.670 00042896527TRLO0
284 522 XLON 08:40:41.206 00042896529TRLO0
605 525 XLON 12:23:38.782 00042899997TRLO0
226 529 XLON 13:52:45.400 00042901208TRLO0
185 529 XLON 13:55:55.400 00042901251TRLO0
199 529 XLON 13:59:05.403 00042901326TRLO0
201 529 XLON 14:02:15.401 00042901396TRLO0
1475 528 XLON 15:41:58.016 00042903741TRLO0
758 527 XLON 16:01:49.601 00042904252TRLO0
325 528 XLON 16:01:49.601 00042904251TRLO0
204 526 XLON 16:01:49.772 00042904253TRLO0
318 525 XLON 16:01:50.228 00042904254TRLO0
321 525 XLON 16:07:24.256 00042904578TRLO0
189 525 XLON 16:07:24.267 00042904580TRLO0
1251 525 XLON 16:07:24.267 00042904579TRLO0
113 524 XLON 16:13:34.585 00042904802TRLO0
1255 524 XLON 16:13:34.592 00042904803TRLO0
1038 523 XLON 16:26:25.972 00042905172TRLO0
131 524 XLON 16:26:25.982 00042905177TRLO0
339 524 XLON 16:26:25.982 00042905176TRLO0
108 524 XLON 16:26:25.982 00042905175TRLO0
100 524 XLON 16:26:25.982 00042905174TRLO0
363 524 XLON 16:26:25.982 00042905173TRLO0
200 524 XLON 16:26:55.008 00042905214TRLO0
42 524 XLON 16:27:15.009 00042905232TRLO0
163 524 XLON 16:27:15.009 00042905231TRLO0
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
rns@lseg.com (mailto:rns@lseg.com)
or visit
www.rns.com (http://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 (https://www.lseg.com/privacy-and-cookie-policy)
. END POSFLFEDFSLEIIE
Copyright 2019 Regulatory News Service, all rights reserved