For best results when printing this announcement, please click on link below:
https://newsfile.refinitiv.com/getnewsfile/v1/story?guid=urn:newsml:reuters.com:20250701:nRSA0445Pa&default-theme=true
RNS Number : 0445P Wickes Group PLC 01 July 2025
1(st) July 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: 30(th) June 2025
Number of ordinary shares purchased: 70,000
Lowest price per share (pence): 224.50
Highest price per share (pence): 233.00
Weighted average price per day (pence): 228.1666
The Company intends to cancel the purchased shares.
Including the above purchases, Wickes has purchased a total of 4,199,834
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 237,866,465 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 237,866,465. 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 228.1666 70,000 224.50 233.00
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
30 June 2025 08:00:48 740 231.00 XLON 00342403017TRLO1
30 June 2025 08:26:08 1,593 231.50 XLON 00342419400TRLO1
30 June 2025 08:26:20 1,562 231.50 XLON 00342419463TRLO1
30 June 2025 09:00:00 100 231.50 XLON 00342433445TRLO1
30 June 2025 09:18:01 1,392 231.50 XLON 00342440549TRLO1
30 June 2025 09:23:21 837 231.50 XLON 00342442723TRLO1
30 June 2025 09:23:21 1 231.50 XLON 00342442724TRLO1
30 June 2025 09:23:21 263 231.50 XLON 00342442725TRLO1
30 June 2025 09:30:28 767 233.00 XLON 00342448499TRLO1
30 June 2025 09:30:28 723 233.00 XLON 00342448500TRLO1
30 June 2025 09:30:28 738 233.00 XLON 00342448501TRLO1
30 June 2025 09:32:06 697 232.50 XLON 00342450377TRLO1
30 June 2025 09:32:06 1,605 232.50 XLON 00342450378TRLO1
30 June 2025 09:32:16 2,255 232.50 XLON 00342450556TRLO1
30 June 2025 09:37:55 791 232.50 XLON 00342456860TRLO1
30 June 2025 09:51:39 756 232.00 XLON 00342470724TRLO1
30 June 2025 09:51:39 756 232.00 XLON 00342470725TRLO1
30 June 2025 09:51:39 756 232.00 XLON 00342470726TRLO1
30 June 2025 09:51:39 774 231.50 XLON 00342470735TRLO1
30 June 2025 09:56:34 814 231.00 XLON 00342476180TRLO1
30 June 2025 10:06:10 519 231.00 XLON 00342487971TRLO1
30 June 2025 10:06:10 777 231.00 XLON 00342487972TRLO1
30 June 2025 10:06:10 259 231.00 XLON 00342487973TRLO1
30 June 2025 10:24:52 115 230.00 XLON 00342511215TRLO1
30 June 2025 10:35:58 1,404 230.00 XLON 00342535667TRLO1
30 June 2025 10:36:03 1,498 230.00 XLON 00342535928TRLO1
30 June 2025 10:53:29 795 229.50 XLON 00342582809TRLO1
30 June 2025 10:53:29 794 229.50 XLON 00342582810TRLO1
30 June 2025 10:53:29 794 229.50 XLON 00342582811TRLO1
30 June 2025 11:03:55 798 229.00 XLON 00342591362TRLO1
30 June 2025 11:31:23 360 229.00 XLON 00342592822TRLO1
30 June 2025 11:31:23 1,148 229.00 XLON 00342592823TRLO1
30 June 2025 12:05:22 762 228.50 XLON 00342594859TRLO1
30 June 2025 12:05:22 761 228.50 XLON 00342594860TRLO1
30 June 2025 12:16:45 35 228.50 XLON 00342595122TRLO1
30 June 2025 12:16:45 1,510 228.50 XLON 00342595123TRLO1
30 June 2025 12:16:45 772 228.50 XLON 00342595124TRLO1
30 June 2025 12:28:28 303 228.00 XLON 00342595593TRLO1
30 June 2025 12:30:19 470 228.00 XLON 00342595628TRLO1
30 June 2025 12:30:19 772 228.00 XLON 00342595629TRLO1
30 June 2025 12:51:45 1,545 228.00 XLON 00342596273TRLO1
30 June 2025 12:59:54 1,042 228.00 XLON 00342596502TRLO1
30 June 2025 13:00:30 2,352 228.00 XLON 00342596526TRLO1
30 June 2025 13:27:17 169 227.00 XLON 00342597208TRLO1
30 June 2025 13:36:42 590 227.00 XLON 00342597421TRLO1
30 June 2025 13:36:42 34 227.00 XLON 00342597422TRLO1
30 June 2025 13:36:42 793 227.00 XLON 00342597423TRLO1
30 June 2025 13:36:42 169 227.00 XLON 00342597424TRLO1
30 June 2025 13:38:56 1,092 226.50 XLON 00342597460TRLO1
30 June 2025 13:38:56 100 226.50 XLON 00342597461TRLO1
30 June 2025 13:54:04 815 226.00 XLON 00342597818TRLO1
30 June 2025 13:54:04 712 226.00 XLON 00342597819TRLO1
30 June 2025 14:23:23 295 226.00 XLON 00342598745TRLO1
30 June 2025 14:23:23 46 226.00 XLON 00342598746TRLO1
30 June 2025 14:26:59 811 226.00 XLON 00342598839TRLO1
30 June 2025 14:31:38 604 226.00 XLON 00342599111TRLO1
30 June 2025 14:31:38 1,949 226.00 XLON 00342599112TRLO1
30 June 2025 14:31:38 660 226.00 XLON 00342599113TRLO1
30 June 2025 14:55:39 765 225.50 XLON 00342600390TRLO1
30 June 2025 14:55:39 764 225.50 XLON 00342600391TRLO1
30 June 2025 14:55:39 764 225.50 XLON 00342600392TRLO1
30 June 2025 14:55:39 764 225.50 XLON 00342600393TRLO1
30 June 2025 15:07:22 566 225.50 XLON 00342601013TRLO1
30 June 2025 15:12:02 31 225.50 XLON 00342601317TRLO1
30 June 2025 15:12:02 1,478 225.50 XLON 00342601318TRLO1
30 June 2025 15:27:04 767 225.00 XLON 00342602094TRLO1
30 June 2025 15:27:04 767 225.00 XLON 00342602095TRLO1
30 June 2025 15:27:04 767 225.00 XLON 00342602096TRLO1
30 June 2025 15:42:56 3,239 225.50 XLON 00342602910TRLO1
30 June 2025 15:42:56 809 225.50 XLON 00342602911TRLO1
30 June 2025 15:42:56 1,204 225.50 XLON 00342602912TRLO1
30 June 2025 15:42:56 298 225.50 XLON 00342602913TRLO1
30 June 2025 15:48:53 100 226.00 XLON 00342603127TRLO1
30 June 2025 15:55:33 1,483 226.00 XLON 00342603473TRLO1
30 June 2025 15:55:33 770 226.00 XLON 00342603474TRLO1
30 June 2025 15:55:33 761 225.50 XLON 00342603475TRLO1
30 June 2025 15:55:33 760 225.50 XLON 00342603476TRLO1
30 June 2025 16:01:59 1 225.00 XLON 00342603826TRLO1
30 June 2025 16:01:59 760 225.00 XLON 00342603827TRLO1
30 June 2025 16:01:59 760 225.00 XLON 00342603828TRLO1
30 June 2025 16:05:43 2,440 225.00 XLON 00342604012TRLO1
30 June 2025 16:10:43 763 224.50 XLON 00342604233TRLO1
30 June 2025 16:13:19 765 224.50 XLON 00342604433TRLO1
30 June 2025 16:15:30 530 225.00 XLON 00342604555TRLO1
30 June 2025 16:16:43 780 225.00 XLON 00342604634TRLO1
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
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 POSURUVRVUUNOAR