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RNS Number : 3389Z Galliford Try Holdings PLC 07 April 2026
07 April 2026
Galliford Try Holdings plc
Transaction in Own Shares
GALLIFORD TRY HOLDINGS PLC ("Galliford Try", or the "Company") announces that
in the period from 30 March 2026 to 02 April 2026 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 Number of ordinary shares purchased Weighted average price per day (GBp) Highest price per share (GBp) Lowest price per share (GBp)
30 March 2026 7,500 478.16 485.00 475.00
31 March 2026 7,500 478.06 480.00 477.00
02 April 2026 5,250 496.15 499.50 492.50
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 1,919,686 shares since the commencement of the buyback programme and
will have 100,364,660 ordinary shares of 50 pence each in issue. There are 0
shares held in treasury. This figure 100,364,660 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.
Aggregate information:
Venue Volume-weighted average price (GBp) Aggregated volume Lowest price per share (GBp) Highest price per share (GBp)
XLON 482.79 20,250 475.00 499.50
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
Date of transaction Time of transaction Number of shares purchased Transaction price (GBp) Venue Trade ID
30/03/2026 09:14:40 416 478.5 XLON 00044265834TRLO0
30/03/2026 09:44:00 309 485 XLON 00044266511TRLO0
30/03/2026 10:12:48 96 483.5 XLON 00044267301TRLO0
30/03/2026 10:36:06 406 481.5 XLON 00044267798TRLO0
30/03/2026 11:23:43 420 475.5 XLON 00044268823TRLO0
30/03/2026 12:32:05 537 479 XLON 00044270816TRLO0
30/03/2026 13:02:14 303 478 XLON 00044271506TRLO0
30/03/2026 13:54:38 538 478 XLON 00044272646TRLO0
30/03/2026 14:20:57 103 478 XLON 00044273344TRLO0
30/03/2026 14:25:03 133 478 XLON 00044273421TRLO0
30/03/2026 14:25:03 210 478 XLON 00044273420TRLO0
30/03/2026 14:40:57 645 476.5 XLON 00044273972TRLO0
30/03/2026 14:48:06 309 477 XLON 00044274205TRLO0
30/03/2026 14:58:21 318 475 XLON 00044274536TRLO0
30/03/2026 15:14:32 517 477 XLON 00044275416TRLO0
30/03/2026 15:35:00 684 476 XLON 00044276340TRLO0
30/03/2026 15:50:04 436 478 XLON 00044276865TRLO0
30/03/2026 16:01:16 355 479 XLON 00044277584TRLO0
30/03/2026 16:21:23 123 479.5 XLON 00044279147TRLO0
30/03/2026 16:22:33 220 479.5 XLON 00044279334TRLO0
30/03/2026 16:23:56 49 479.5 XLON 00044279404TRLO0
30/03/2026 16:23:56 373 479.5 XLON 00044279403TRLO0
31/03/2026 14:59:39 429 479 XLON 00044296268TRLO0
31/03/2026 15:04:43 636 479 XLON 00044296539TRLO0
31/03/2026 15:21:15 608 478.5 XLON 00044297306TRLO0
31/03/2026 15:34:27 286 480 XLON 00044297871TRLO0
31/03/2026 15:34:27 60 480 XLON 00044297870TRLO0
31/03/2026 15:38:46 789 479 XLON 00044297998TRLO0
31/03/2026 15:38:49 541 478.5 XLON 00044298000TRLO0
31/03/2026 15:48:39 469 478 XLON 00044298466TRLO0
31/03/2026 15:48:39 120 478 XLON 00044298465TRLO0
31/03/2026 15:52:02 280 477.5 XLON 00044298617TRLO0
31/03/2026 15:56:46 181 477.5 XLON 00044298927TRLO0
31/03/2026 15:56:46 77 477.5 XLON 00044298926TRLO0
31/03/2026 15:56:46 62 477.5 XLON 00044298925TRLO0
31/03/2026 16:06:55 586 477 XLON 00044299372TRLO0
31/03/2026 16:16:48 103 478 XLON 00044299992TRLO0
31/03/2026 16:16:48 145 478 XLON 00044299991TRLO0
31/03/2026 16:16:48 51 478 XLON 00044299990TRLO0
31/03/2026 16:19:58 181 478 XLON 00044300179TRLO0
31/03/2026 16:19:58 22 478 XLON 00044300178TRLO0
31/03/2026 16:19:58 32 478 XLON 00044300177TRLO0
31/03/2026 16:19:58 62 478 XLON 00044300176TRLO0
31/03/2026 16:22:18 883 477 XLON 00044300385TRLO0
31/03/2026 16:26:44 528 477 XLON 00044300880TRLO0
31/03/2026 16:29:53 369 477 XLON 00044301199TRLO0
02/04/2026 10:49:19 464 492.5 XLON 00044333145TRLO0
02/04/2026 11:51:04 561 493.5 XLON 00044334701TRLO0
02/04/2026 12:21:14 407 495 XLON 00044335803TRLO0
02/04/2026 13:09:14 54 493.5 XLON 00044337725TRLO0
02/04/2026 13:09:14 387 493.5 XLON 00044337724TRLO0
02/04/2026 14:12:04 681 494 XLON 00044339828TRLO0
02/04/2026 14:40:52 130 496 XLON 00044341213TRLO0
02/04/2026 14:40:52 195 496 XLON 00044341212TRLO0
02/04/2026 14:45:45 282 497 XLON 00044341578TRLO0
02/04/2026 14:45:45 8 497 XLON 00044341579TRLO0
02/04/2026 14:52:35 150 498 XLON 00044342136TRLO0
02/04/2026 14:52:35 159 498 XLON 00044342135TRLO0
02/04/2026 14:58:46 158 499.5 XLON 00044342759TRLO0
02/04/2026 14:58:46 131 499.5 XLON 00044342758TRLO0
02/04/2026 15:05:07 629 499.5 XLON 00044343004TRLO0
02/04/2026 15:10:20 410 499 XLON 00044343281TRLO0
02/04/2026 15:15:36 444 499 XLON 00044343539TRLO0
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