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RNS Number : 4517N Wickes Group PLC 19 June 2025
19(th) June 2025
Wickes Group plc
("Wickes" or the "Company")
Transaction in Own Shares
Wickes Group plc ("Wickes" or the "Company") announces today it has purchased
the following number of its ordinary shares of 10 pence each through Investec
Bank plc.
Ordinary Shares
Date of purchase: 18(th) June 2025
Number of ordinary shares purchased: 70,000
Lowest price per share (pence): 221.00
Highest price per share (pence): 224.00
Weighted average price per day (pence): 221.8092
The Company intends to cancel the purchased shares.
Including the above purchases, Wickes has purchased a total of 3,651,507
ordinary shares since the commencement of the buyback programme.
Following the purchase and cancellation of these shares, the Company's issued
share capital will consist of 238,414,792 shares. The Company does not hold
any shares in Treasury.
Once the shares are cancelled, the total number of voting rights in Wickes
will therefore be 238,414,792. This figure may be used by shareholders as
the denominator for the calculations by which they can determine if they are
required to notify their interest, or a change to their interest, in the
Company under the Financial Conduct Authority's Disclosure and Transparency
Rules.
The table below contains detailed information about the purchases made as part
of the buyback programme.
Aggregate information:
Venue Volume-weighted average price (p) Aggregated volume Lowest price per share (p) Highest price per share (p)
XLON 221.8092 70,000 221.00 224.00
Schedule of Purchases - Individual Transactions
In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No
596/2014 as it forms part of UK law, a full breakdown of the individual trades
made by Investec on behalf of the Company as part of the Programme is detailed
below:
Date and time of each trade Number of shares purchased Price (pence per share) Trading Venue Transaction Reference Number
18 June 2025 08:14:13 666 224.00 XLON 00341102935TRLO1
18 June 2025 08:16:51 1,328 223.00 XLON 00341104161TRLO1
18 June 2025 08:18:50 450 222.50 XLON 00341105145TRLO1
18 June 2025 08:18:50 885 222.50 XLON 00341105146TRLO1
18 June 2025 08:19:51 247 222.00 XLON 00341105671TRLO1
18 June 2025 08:19:51 428 222.00 XLON 00341105672TRLO1
18 June 2025 08:54:35 398 222.50 XLON 00341123513TRLO1
18 June 2025 08:54:35 330 222.50 XLON 00341123514TRLO1
18 June 2025 08:54:35 817 222.50 XLON 00341123515TRLO1
18 June 2025 08:59:21 604 222.50 XLON 00341125993TRLO1
18 June 2025 08:59:21 63 222.50 XLON 00341125994TRLO1
18 June 2025 09:05:47 563 222.50 XLON 00341129459TRLO1
18 June 2025 09:17:05 1,236 222.50 XLON 00341138476TRLO1
18 June 2025 09:19:50 1,340 222.50 XLON 00341139925TRLO1
18 June 2025 10:28:57 700 222.00 XLON 00341177686TRLO1
18 June 2025 10:28:57 1,401 222.00 XLON 00341177687TRLO1
18 June 2025 10:28:57 701 222.00 XLON 00341177688TRLO1
18 June 2025 10:28:57 700 222.00 XLON 00341177689TRLO1
18 June 2025 10:28:57 1,700 222.00 XLON 00341177690TRLO1
18 June 2025 10:28:57 815 222.00 XLON 00341177691TRLO1
18 June 2025 10:28:57 42 222.00 XLON 00341177692TRLO1
18 June 2025 10:28:57 954 222.00 XLON 00341177693TRLO1
18 June 2025 10:29:36 2,671 222.00 XLON 00341178144TRLO1
18 June 2025 11:19:42 713 222.00 XLON 00341194594TRLO1
18 June 2025 11:19:42 712 222.00 XLON 00341194595TRLO1
18 June 2025 11:24:24 1,443 221.50 XLON 00341194790TRLO1
18 June 2025 11:24:24 721 221.50 XLON 00341194791TRLO1
18 June 2025 11:24:24 722 221.50 XLON 00341194792TRLO1
18 June 2025 11:24:24 722 221.50 XLON 00341194793TRLO1
18 June 2025 11:57:10 694 221.00 XLON 00341196035TRLO1
18 June 2025 11:57:10 694 221.00 XLON 00341196036TRLO1
18 June 2025 11:57:10 694 221.00 XLON 00341196037TRLO1
18 June 2025 11:57:10 694 221.00 XLON 00341196038TRLO1
18 June 2025 12:00:03 1,334 221.50 XLON 00341196257TRLO1
18 June 2025 12:03:44 2,044 221.50 XLON 00341196480TRLO1
18 June 2025 12:11:44 723 221.00 XLON 00341196739TRLO1
18 June 2025 12:11:44 723 221.00 XLON 00341196740TRLO1
18 June 2025 12:11:44 723 221.00 XLON 00341196741TRLO1
18 June 2025 12:49:09 403 221.00 XLON 00341197863TRLO1
18 June 2025 13:14:48 512 221.00 XLON 00341198308TRLO1
18 June 2025 13:31:00 119 221.00 XLON 00341198801TRLO1
18 June 2025 13:48:14 1,023 221.50 XLON 00341199162TRLO1
18 June 2025 13:48:39 722 221.50 XLON 00341199166TRLO1
18 June 2025 13:49:03 705 221.50 XLON 00341199169TRLO1
18 June 2025 13:54:48 366 221.00 XLON 00341199264TRLO1
18 June 2025 14:02:29 9 221.00 XLON 00341199389TRLO1
18 June 2025 14:20:01 704 221.00 XLON 00341199808TRLO1
18 June 2025 14:20:01 403 221.00 XLON 00341199809TRLO1
18 June 2025 14:20:01 302 221.00 XLON 00341199810TRLO1
18 June 2025 14:20:01 704 221.00 XLON 00341199811TRLO1
18 June 2025 14:31:21 1,000 221.00 XLON 00341200133TRLO1
18 June 2025 14:42:33 1,371 221.50 XLON 00341200455TRLO1
18 June 2025 15:13:22 741 222.00 XLON 00341202327TRLO1
18 June 2025 15:14:03 4,247 222.00 XLON 00341202385TRLO1
18 June 2025 15:14:03 1,200 222.00 XLON 00341202386TRLO1
18 June 2025 15:14:03 740 222.00 XLON 00341202387TRLO1
18 June 2025 15:15:02 405 222.00 XLON 00341202480TRLO1
18 June 2025 15:15:19 657 222.00 XLON 00341202490TRLO1
18 June 2025 15:15:37 673 222.00 XLON 00341202620TRLO1
18 June 2025 15:15:37 768 222.00 XLON 00341202621TRLO1
18 June 2025 15:15:38 805 222.00 XLON 00341202623TRLO1
18 June 2025 15:27:59 2,087 222.00 XLON 00341203229TRLO1
18 June 2025 15:27:59 1,700 222.00 XLON 00341203230TRLO1
18 June 2025 15:27:59 793 222.00 XLON 00341203231TRLO1
18 June 2025 15:27:59 35 222.00 XLON 00341203232TRLO1
18 June 2025 15:28:08 9 222.00 XLON 00341203236TRLO1
18 June 2025 15:29:32 2,087 222.00 XLON 00341203296TRLO1
18 June 2025 15:30:07 1,354 222.00 XLON 00341203354TRLO1
18 June 2025 15:31:10 560 222.00 XLON 00341203410TRLO1
18 June 2025 15:32:09 151 222.00 XLON 00341203503TRLO1
18 June 2025 15:32:10 560 222.00 XLON 00341203505TRLO1
18 June 2025 15:40:48 706 222.00 XLON 00341203942TRLO1
18 June 2025 15:50:00 726 221.50 XLON 00341204664TRLO1
18 June 2025 15:50:00 725 221.50 XLON 00341204665TRLO1
18 June 2025 15:50:06 673 221.50 XLON 00341204669TRLO1
18 June 2025 16:12:23 575 221.50 XLON 00341206116TRLO1
18 June 2025 16:12:23 892 221.50 XLON 00341206117TRLO1
18 June 2025 16:12:23 798 221.50 XLON 00341206118TRLO1
18 June 2025 16:12:23 598 221.50 XLON 00341206119TRLO1
18 June 2025 16:12:36 712 221.50 XLON 00341206123TRLO1
18 June 2025 16:12:51 120 221.50 XLON 00341206129TRLO1
18 June 2025 16:12:54 682 221.50 XLON 00341206137TRLO1
18 June 2025 16:13:14 105 221.50 XLON 00341206144TRLO1
18 June 2025 16:13:14 577 221.50 XLON 00341206145TRLO1
18 June 2025 16:17:53 247 221.50 XLON 00341206306TRLO1
18 June 2025 16:17:53 435 221.50 XLON 00341206307TRLO1
18 June 2025 16:19:26 225 221.50 XLON 00341206368TRLO1
18 June 2025 16:19:26 214 221.50 XLON 00341206369TRLO1
18 June 2025 16:19:50 188 221.50 XLON 00341206397TRLO1
18 June 2025 16:19:50 387 221.50 XLON 00341206398TRLO1
18 June 2025 16:19:50 105 221.50 XLON 00341206399TRLO1
For further information please contact:
Holly Grainger
Director of Investor Relations
07341 680 426
Holly.grainger@wickes.co.uk
Lucy Legh, Will Smith
Headland - PR Adviser to the Company
+44 (0) 0203 805 4822
wickes@headlandconsultancy.com
LEI: 213800IEX9ZXJRAOL133
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