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REG - Interco. Hotels Grp - Transaction in Own Shares

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RNS Number : 0225D  InterContinental Hotels Group PLC  01 April 2025

1 April 2025

 

InterContinental Hotels Group PLC (the "Company")

 

Transaction in own shares

 

The Company announces that on 31 March 2025 it purchased the following number
of its ordinary shares of 20(340/399) pence each from Merrill Lynch
International ("MLI") on the London Stock Exchange in accordance with the
authority granted by shareholders at the Company's Annual General Meeting on 3
May 2024 (the "Purchase"). The Purchase was effected pursuant to instructions
issued by the Company on 18 February 2025 as announced on 18 February 2025.

 

Date of Purchase: 31 March

 

                                                          London Stock Exchange  Cboe BXE   Cboe CXE   Turquoise  Aquis
 Number of ordinary shares purchased                      100                    0          0          0          0
 Highest price paid (per ordinary share)                  £ 82.7000              £ 0.0000   £ 0.0000   £ 0.0000   £ 0.0000
 Lowest price paid (per ordinary share)                   £ 81.9800              £ 0.0000   £ 0.0000   £ 0.0000   £ 0.0000
 Volume weighted average price paid (per ordinary share)  £ 82.4114              £ 0.0000   £ 0.0000   £ 0.0000   £ 0.0000

 

 

The Company intends to cancel the purchased shares.

 

Following the above transaction, the Company has 157,188,016 ordinary shares
in issue (excluding 6,206,782 held in treasury).

 

A full breakdown of the individual purchases by MLI is included below.

 

This announcement does not constitute, or form part of, an offer or any
solicitation of an offer for securities in any jurisdiction.

 

Enquiries to:

 

InterContinental Hotels Group PLC:

 

Investor Relations:         Stuart Ford (+44 (0)7823 828 739); Kate
Carpenter (+44 (0) 7825 655 702);

                                    Joe
Simpson (+44 (0)7976 862 072)

Media Relations:            Neil Maidment (+44 (0)7970 668 250) Mike
Ward (+44 (0)7795 257 407)

 

 

Schedule of Purchases

 

Shares purchased:        100 (ISIN: GB00BHJYC057)

 

Date of Purchases:       31 March 2025

 

Investment firm:            MLI

 

 

 

 

 

Detailed information:

 

 Transaction  Time      Time   Volume  Price (GBP)  Trading  Transaction ID

Date
Zone
Venue
 31/03/2025   08:18:32  BST    1       82.4200      XLON     0XL07A0000000000346BRC
 31/03/2025   08:19:39  BST    1       82.3800      XLON     0XL07A0000000000346BS2
 31/03/2025   08:23:03  BST    2       82.3200      XLON     0XL07A0000000000346BVT
 31/03/2025   08:23:57  BST    2       82.3000      XLON     0XL07A0000000000346C0D
 31/03/2025   08:34:52  BST    1       82.1600      XLON     0XL07A0000000000346C8H
 31/03/2025   08:35:25  BST    1       82.1200      XLON     0XL07A0000000000346C9D
 31/03/2025   08:36:28  BST    1       82.1000      XLON     0XL07A0000000000346CAE
 31/03/2025   08:40:17  BST    1       82.0000      XLON     0XL07A0000000000346CE6
 31/03/2025   09:22:26  BST    2       82.5400      XLON     0XL07A0000000000346DJ7
 31/03/2025   09:36:53  BST    1       82.3600      XLON     0XL07A0000000000346DTA
 31/03/2025   10:03:49  BST    1       82.4600      XLON     0XL07A0000000000346F5F
 31/03/2025   10:18:36  BST    1       82.2400      XLON     0XL07A0000000000346FPK
 31/03/2025   10:40:06  BST    1       82.2400      XLON     0XL07A0000000000346GIM
 31/03/2025   11:09:25  BST    1       82.1800      XLON     0XL07A0000000000346HO9
 31/03/2025   11:45:26  BST    1       82.3000      XLON     0XL07A0000000000346ISQ
 31/03/2025   11:45:31  BST    1       82.2400      XLON     0XL07A0000000000346ISS
 31/03/2025   11:55:49  BST    1       82.0800      XLON     0XL07A0000000000346J74
 31/03/2025   12:10:03  BST    1       82.1200      XLON     0XL07A0000000000346JOF
 31/03/2025   12:19:21  BST    1       81.9800      XLON     0XL07A0000000000346K2R
 31/03/2025   12:36:51  BST    1       82.0600      XLON     0XL07A0000000000346KKQ
 31/03/2025   12:43:00  BST    1       82.0800      XLON     0XL07A0000000000346KRN
 31/03/2025   12:46:14  BST    1       82.1200      XLON     0XL07A0000000000346L0A
 31/03/2025   12:51:59  BST    1       82.1400      XLON     0XL07A0000000000346L7P
 31/03/2025   13:02:40  BST    1       82.3200      XLON     0XL07A0000000000346LM3
 31/03/2025   13:02:55  BST    1       82.3000      XLON     0XL07A0000000000346LM9
 31/03/2025   13:07:41  BST    1       82.4000      XLON     0XL07A0000000000346LTT
 31/03/2025   13:15:27  BST    1       82.4400      XLON     0XL07A0000000000346M6E
 31/03/2025   13:19:08  BST    1       82.4600      XLON     0XL07A0000000000346MAB
 31/03/2025   13:22:03  BST    1       82.4200      XLON     0XL07A0000000000346MDF
 31/03/2025   13:29:17  BST    1       82.3600      XLON     0XL07A0000000000346MM6
 31/03/2025   13:30:01  BST    1       82.3400      XLON     0XL07A0000000000346MN9
 31/03/2025   13:30:30  BST    1       82.3000      XLON     0XL07A0000000000346MPQ
 31/03/2025   13:32:21  BST    1       82.2000      XLON     0XL07A0000000000346MT9
 31/03/2025   13:33:33  BST    1       82.0200      XLON     0XL07A0000000000346N02
 31/03/2025   13:37:27  BST    1       82.2800      XLON     0XL07A0000000000346N8U
 31/03/2025   13:40:19  BST    1       82.2400      XLON     0XL07A0000000000346NCS
 31/03/2025   13:43:19  BST    1       82.0400      XLON     0XL07A0000000000346NI7
 31/03/2025   13:45:10  BST    1       82.0600      XLON     0XL07A0000000000346NLA
 31/03/2025   13:47:58  BST    1       82.1000      XLON     0XL07A0000000000346NQ1
 31/03/2025   13:52:37  BST    1       82.3200      XLON     0XL07A0000000000346O3G
 31/03/2025   13:55:05  BST    1       82.3800      XLON     0XL07A0000000000346O9J
 31/03/2025   13:58:44  BST    1       82.5000      XLON     0XL07A0000000000346OGB
 31/03/2025   14:02:55  BST    1       82.7000      XLON     0XL07A0000000000346OPE
 31/03/2025   14:03:11  BST    1       82.6600      XLON     0XL07A0000000000346OPR
 31/03/2025   14:10:03  BST    1       82.6800      XLON     0XL07A0000000000346P7U
 31/03/2025   14:11:10  BST    1       82.6400      XLON     0XL07A0000000000346PAN
 31/03/2025   14:13:22  BST    1       82.6200      XLON     0XL07A0000000000346PFB
 31/03/2025   14:16:38  BST    1       82.5800      XLON     0XL07A0000000000346PMV
 31/03/2025   14:20:23  BST    1       82.4600      XLON     0XL07A0000000000346PV7
 31/03/2025   14:21:27  BST    1       82.4000      XLON     0XL07A0000000000346Q23
 31/03/2025   14:26:29  BST    1       82.3200      XLON     0XL07A0000000000346QG6
 31/03/2025   14:30:21  BST    1       82.2800      XLON     0XL07A0000000000346QOA
 31/03/2025   14:35:23  BST    1       82.5200      XLON     0XL07A0000000000346R2Q
 31/03/2025   14:35:53  BST    1       82.4800      XLON     0XL07A0000000000346R3J
 31/03/2025   14:37:15  BST    1       82.4000      XLON     0XL07A0000000000346R5U
 31/03/2025   14:38:00  BST    1       82.3400      XLON     0XL07A0000000000346R74
 31/03/2025   14:40:32  BST    1       82.3600      XLON     0XL07A0000000000346RB0
 31/03/2025   14:48:06  BST    1       82.2800      XLON     0XL07A0000000000346ROC
 31/03/2025   14:50:41  BST    1       82.2400      XLON     0XL07A0000000000346RSU
 31/03/2025   14:51:48  BST    1       82.2000      XLON     0XL07A0000000000346RUR
 31/03/2025   14:52:31  BST    1       82.1600      XLON     0XL07A0000000000346S0O
 31/03/2025   14:57:35  BST    1       82.3200      XLON     0XL07A0000000000346S8U
 31/03/2025   15:01:35  BST    1       82.4000      XLON     0XL07A0000000000346SIP
 31/03/2025   15:05:32  BST    1       82.4400      XLON     0XL07A0000000000346SQ6
 31/03/2025   15:09:17  BST    1       82.5400      XLON     0XL07A0000000000346T0R
 31/03/2025   15:09:56  BST    2       82.5600      XLON     0XL07A0000000000346T1V
 31/03/2025   15:11:24  BST    1       82.5800      XLON     0XL07A0000000000346T4O
 31/03/2025   15:11:24  BST    1       82.5800      XLON     0XL07A0000000000346T4S
 31/03/2025   15:11:29  BST    1       82.6000      XLON     0XL07A0000000000346T5E
 31/03/2025   15:11:41  BST    1       82.5400      XLON     0XL07A0000000000346T66
 31/03/2025   15:13:55  BST    1       82.6200      XLON     0XL07A0000000000346TB6
 31/03/2025   15:14:34  BST    1       82.6000      XLON     0XL07A0000000000346TC3
 31/03/2025   15:14:55  BST    1       82.5600      XLON     0XL07A0000000000346TCE
 31/03/2025   15:17:10  BST    1       82.6800      XLON     0XL07A0000000000346THS
 31/03/2025   15:17:24  BST    1       82.6600      XLON     0XL07A0000000000346TI5
 31/03/2025   15:21:12  BST    1       82.6400      XLON     0XL07A0000000000346TR7
 31/03/2025   15:21:22  BST    2       82.6400      XLON     0XL07A0000000000346TRL
 31/03/2025   15:21:50  BST    1       82.6400      XLON     0XL07A0000000000346TT1
 31/03/2025   15:22:12  BST    1       82.6400      XLON     0XL07A0000000000346TU1
 31/03/2025   15:24:23  BST    1       82.6000      XLON     0XL07A0000000000346U46
 31/03/2025   15:24:24  BST    1       82.5800      XLON     0XL07A0000000000346U4B
 31/03/2025   15:24:56  BST    1       82.6400      XLON     0XL07A0000000000346U5J
 31/03/2025   15:25:29  BST    1       82.6400      XLON     0XL07A0000000000346U8B
 31/03/2025   15:27:06  BST    1       82.6000      XLON     0XL07A0000000000346UD0
 31/03/2025   15:29:00  BST    3       82.6200      XLON     0XL07A0000000000346UH6
 31/03/2025   15:29:05  BST    2       82.6000      XLON     0XL07A0000000000346UHI
 31/03/2025   15:29:35  BST    1       82.6200      XLON     0XL07A0000000000346UJT
 31/03/2025   15:29:35  BST    1       82.6200      XLON     0XL07A0000000000346UK0
 31/03/2025   15:29:35  BST    2       82.6200      XLON     0XL07A0000000000346UK2
 31/03/2025   15:29:40  BST    2       82.6000      XLON     0XL07A0000000000346UKF

 

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