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    Transaction in own shares

    OSB GROUP PLC                                        
    ISIN: GB00BLDRH360
    02 October 2025

    LEI number: 213800ZBKL9BHSL2K459

    OSB GROUP PLC (the “Company”)
    Transaction in Own Shares

    The Company announces that on 01 October 2025 it had purchased a total of 22,998 of its ordinary shares of £0.01 each (the "ordinary shares") on the London Stock Exchange, CBOE BXE and CBOE CXE, through the Company's broker Citigroup Global Markets Limited as detailed below. The repurchased ordinary shares will be cancelled.

      London Stock Exchange CBOE BXE CBOE CXE
    Number of ordinary shares purchased 22,998 - -
    Highest price paid (per ordinary share) 562.00p - -
    Lowest price paid (per ordinary share) 558.00p - -
    Volume weighted average price paid (per ordinary share) 560.69p - -

    The purchases form part of the Company’s share buyback programme announced on 13 March 2025.

    Following settlement of the above purchases and cancellation of the purchased ordinary shares, the Company's total number of ordinary shares in issue shall be 360,173,556 ordinary shares.

    No ordinary shares are held in treasury. Therefore, the total number of voting rights in the Company is 360,173,556.

    In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as incorporated into and implemented under English law (including by virtue of the European Union (Withdrawal) Act 2018), the detailed breakdown of individual trades made by Citigroup Global Markets Limited on behalf of the Company as part of the share buyback programme is set out below.

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

    Schedule of Purchases – Individual Transactions

    Issuer Name OSB GROUP PLC
    LEI 213800ZBKL9BHSL2K459
    ISIN GB00BLDRH360
    Intermediary Name Citigroup Global Markets Limited
    Intermediary Code SBILGB2L
    Timezone GMT+1
    Currency GBP


    Transaction Date Trade Time Currency Volume Price Trading Venue Transaction ID
    01-10-2025 16:15:14 GBp 487 561.50 XLON xeaNjnce3Fb
    01-10-2025 16:10:42 GBp 577 561.50 XLON xeaNjnceD2e
    01-10-2025 16:04:12 GBp 350 561.50 XLON xeaNjncfrQa
    01-10-2025 16:04:12 GBp 72 561.50 XLON xeaNjncfrQc
    01-10-2025 16:03:12 GBp 620 561.50 XLON xeaNjncfp1Y
    01-10-2025 16:02:50 GBp 672 562.00 XLON xeaNjncfmsu
    01-10-2025 15:53:14 GBp 441 561.00 XLON xeaNjncfaTx
    01-10-2025 15:53:14 GBp 25 561.00 XLON xeaNjncfaTz
    01-10-2025 15:53:14 GBp 15 561.00 XLON xeaNjncfaT5
    01-10-2025 15:53:14 GBp 503 561.00 XLON xeaNjncfaT7
    01-10-2025 15:40:55 GBp 323 561.50 XLON xeaNjncfJ7d
    01-10-2025 15:40:55 GBp 464 562.00 XLON xeaNjncfJ7h
    01-10-2025 15:40:55 GBp 708 562.00 XLON xeaNjncfJ7s
    01-10-2025 15:25:30 GBp 1,025 562.00 XLON xeaNjncf8dU
    01-10-2025 15:25:30 GBp 243 562.00 XLON xeaNjncf8cP
    01-10-2025 15:25:30 GBp 167 562.00 XLON xeaNjncf8cR
    01-10-2025 15:22:59 GBp 230 560.50 XLON xeaNjncgtHL
    01-10-2025 15:20:09 GBp 762 559.50 XLON xeaNjncgmCM
    01-10-2025 15:15:48 GBp 508 558.50 XLON xeaNjncgvsE
    01-10-2025 15:15:48 GBp 76 558.50 XLON xeaNjncgvsG
    01-10-2025 15:07:14 GBp 311 559.00 XLON xeaNjncgfm@
    01-10-2025 15:07:14 GBp 705 559.00 XLON xeaNjncgfm7
    01-10-2025 15:02:38 GBp 276 558.50 XLON xeaNjncgUmI
    01-10-2025 15:01:40 GBp 94 558.00 XLON xeaNjncgSrG
    01-10-2025 15:01:40 GBp 116 558.00 XLON xeaNjncgSrI
    01-10-2025 15:01:03 GBp 230 558.50 XLON xeaNjncgT91
    01-10-2025 15:01:03 GBp 73 558.50 XLON xeaNjncgT99
    01-10-2025 15:00:52 GBp 509 559.00 XLON xeaNjncgQYQ
    01-10-2025 14:56:12 GBp 724 559.50 XLON xeaNjncg3jX
    01-10-2025 14:55:58 GBp 116 560.00 XLON xeaNjncg3HW
    01-10-2025 14:55:58 GBp 250 560.00 XLON xeaNjncg3HY
    01-10-2025 14:50:28 GBp 796 559.50 XLON xeaNjnchs9F
    01-10-2025 14:50:27 GBp 205 559.50 XLON xeaNjnchsL$
    01-10-2025 14:50:27 GBp 473 560.00 XLON xeaNjnchsLL
    01-10-2025 14:48:38 GBp 503 560.50 XLON xeaNjnchrRz
    01-10-2025 14:42:14 GBp 201 560.50 XLON xeaNjnchcTQ
    01-10-2025 14:41:26 GBp 277 560.00 XLON xeaNjnchayE
    01-10-2025 14:37:03 GBp 113 559.50 XLON xeaNjnchiux
    01-10-2025 14:37:03 GBp 597 559.50 XLON xeaNjnchiuz
    01-10-2025 14:35:02 GBp 507 560.00 XLON xeaNjnche4D
    01-10-2025 14:31:08 GBp 473 560.50 XLON xeaNjnchHc6
    01-10-2025 14:18:55 GBp 308 560.00 XLON xeaNjnchD@O
    01-10-2025 14:18:55 GBp 443 560.50 XLON xeaNjnchD@V
    01-10-2025 14:13:56 GBp 121 561.00 XLON xeaNjncat54
    01-10-2025 14:13:56 GBp 200 561.00 XLON xeaNjncat5G
    01-10-2025 14:13:56 GBp 741 561.00 XLON xeaNjncat4g
    01-10-2025 13:50:58 GBp 399 561.00 XLON xeaNjncahRI
    01-10-2025 13:50:58 GBp 523 561.00 XLON xeaNjncahRT
    01-10-2025 13:46:12 GBp 623 561.50 XLON xeaNjncaLqd
    01-10-2025 13:25:58 GBp 305 562.00 XLON xeaNjncaAL2
    01-10-2025 13:25:23 GBp 526 562.00 XLON xeaNjncaBtl
    01-10-2025 13:10:04 GBp 243 561.50 XLON xeaNjncbdZG
    01-10-2025 13:09:13 GBp 532 562.00 XLON xeaNjncbdI4
    01-10-2025 08:26:25 GBp 31 559.50 XLON xeaNjncYum@
    01-10-2025 08:26:25 GBp 225 560.00 XLON xeaNjncYum7
    01-10-2025 08:21:03 GBp 370 561.00 XLON xeaNjncYYoN
    01-10-2025 08:12:41 GBp 348 561.00 XLON xeaNjncYh$W
    01-10-2025 08:12:41 GBp 500 561.50 XLON xeaNjncYh$Y
    01-10-2025 08:09:19 GBp 743 562.00 XLON xeaNjncYNya





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    Transaction in own shares OSB GROUP PLC                                        ISIN: GB00BLDRH36002 October 2025 LEI number: 213800ZBKL9BHSL2K459 OSB GROUP PLC (the “Company”) Transaction in Own Shares The Company announces that on 01 October 2025 it had purchased a total …