Transaction in Own Shares

Summary by AI BETAClose X

AEP Plantations PLC has purchased 48,076 ordinary shares on September 11, 2026, as part of its ongoing share buyback program, with the highest price paid per share being 198.40 pence and the lowest at 194.40 pence, resulting in a volume-weighted average price of 195.90 pence. These acquired shares will be held in treasury, reducing the total number of ordinary shares in issue to 399,762,720, with 18,490,591 shares now held in treasury, leaving 381,272,129 voting rights. Since the buyback program commenced on July 6, 2026, AEP has repurchased a total of 2,321,351 ordinary shares.

Disclaimer*

AEP Plantations PLC
14 September 2026
 

14 September 2026

 

AEP Plantations Plc

("AEP" or the "Company")

Transaction in Own Shares

The Company announces that on 11 September 2026 it purchased the following number of ordinary shares of 2.5 pence each in the Company (“Ordinary Shares”) pursuant to the share buyback programme announced on 6th July 2026 (“Buyback Programme”) through Cavendish Capital Markets Limited.

Date of purchase:

11 September 2026

Number of Ordinary Shares purchased

48,076

Highest price paid per Ordinary Share (pence)

198.40

Lowest price paid per Ordinary Share (pence)

194.40

Volume weighted average price paid per Ordinary Share (pence)

195.90

The purchased Ordinary Shares will be held by the Company in treasury. Following the purchase of these Ordinary Shares, the Company will have 399,762,720 Ordinary Shares in issue, including 18,490,591 shares held in treasury. The total number of Ordinary Shares held by the Company in treasury is 18,490,591, which attract no voting rights.

The total number of voting rights in the Company, excluding treasury shares as at 11 September 2026 is 381,272,129. This figure may be used by shareholders (and others with notification obligations) as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure and Transparency Rules.

Since the announcement of the Buyback Programme on 6th July 2026AEP has purchased 2,321,351 Ordinary Shares in aggregate which are held in treasury. 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), the table below contains detailed information of the individual trades made by Cavendish Capital Markets Limited on behalf of the Company as part of the share buyback programme.

 

For further enquiry, contact:

AEP Plantations Plc                                        

+44 (0) 20 7216 4621

Marcus Chan Jau Chwen, Executive Director (Corporate Affairs)

 

Kevin Wong Tack Wee, Group Chief Executive Officer

 

 

 

 

Montfort Communications Limited – Financial PR

 

Ann-marie Wilkinson, Shireen Farhana

aep@montfort.london

 

 

Cavendish Capital Markets Limited - Financial Adviser and Broker

+44 (0) 20 7220 0500

Matt Goode, George Lawson, Trisyia Jamaludin (Corporate Finance)

 

Will Smith, Harriet Ward (Corporate Broking)

 

 

Individual Transactions

Number of Shares purchased

Transaction price (pence per Share)

Time of transaction

Venue

63

197.40

08:00

XLON

503

197.00

08:04

XLON

1,066

196.40

08:04

XLON

419

196.40

08:04

XLON

87

196.30

08:04

XLON

1

196.60

08:09

XLON

1

197.20

08:16

XLON

555

197.20

08:30

XLON

288

197.20

08:30

XLON

292

197.20

08:37

XLON

371

197.20

08:37

XLON

303

197.20

08:44

XLON

4

197.20

08:44

XLON

141

197.20

08:44

XLON

200

197.50

08:44

XLON

703

198.40

08:44

XLON

614

197.70

08:45

XLON

146

197.60

08:50

XLON

346

197.60

08:50

XLON

277

197.60

08:50

XLON

646

197.60

08:50

XLON

77

197.30

08:57

XLON

930

197.00

09:01

XLON

48

197.00

09:01

XLON

78

196.80

09:02

XLON

77

196.80

09:03

XLON

2

196.80

09:06

XLON

1

197.20

09:11

XLON

83

197.10

09:13

XLON

805

196.80

09:15

XLON

73

196.80

09:19

XLON

81

195.70

09:24

XLON

77

196.00

09:30

XLON

75

195.70

09:31

XLON

71

195.70

09:40

XLON

73

195.70

09:46

XLON

879

195.40

09:49

XLON

310

195.40

09:49

XLON

84

195.80

09:49

XLON

284

195.80

09:49

XLON

78

195.80

09:50

XLON

81

195.60

10:00

XLON

80

195.60

10:07

XLON

74

195.60

10:13

XLON

81

195.60

10:18

XLON

72

195.60

10:19

XLON

878

195.20

10:19

XLON

277

195.20

10:19

XLON

686

195.20

10:19

XLON

948

194.80

10:19

XLON

207

194.80

10:19

XLON

331

194.70

10:19

XLON

69

195.20

10:36

XLON

82

195.20

10:39

XLON

79

195.20

10:41

XLON

70

196.20

10:51

XLON

78

196.20

10:58

XLON

282

196.60

11:03

XLON

78

196.50

11:04

XLON

81

196.80

11:06

XLON

71

196.50

11:11

XLON

287

196.80

11:14

XLON

583

196.80

11:14

XLON

1

196.50

11:18

XLON

83

197.20

11:23

XLON

1,841

197.40

11:23

XLON

81

197.50

11:31

XLON

74

197.60

11:36

XLON

72

197.60

11:40

XLON

77

197.60

11:47

XLON

49

197.20

11:59

XLON

77

197.60

12:05

XLON

322

197.60

12:07

XLON

304

197.60

12:07

XLON

998

197.20

12:07

XLON

798

197.20

12:07

XLON

76

197.20

12:07

XLON

74

197.00

12:10

XLON

72

197.00

12:17

XLON

72

197.20

12:23

XLON

971

196.80

12:24

XLON

70

196.60

12:26

XLON

72

196.20

12:28

XLON

71

196.20

12:33

XLON

81

196.20

12:38

XLON

69

196.20

12:42

XLON

1

196.20

12:45

XLON

77

196.20

12:47

XLON

322

196.20

12:51

XLON

323

196.20

12:51

XLON

323

196.20

12:54

XLON

77

196.20

12:55

XLON

548

196.20

12:55

XLON

686

195.80

12:58

XLON

277

195.80

12:58

XLON

47

195.80

12:58

XLON

81

195.90

12:58

XLON

1

195.20

13:04

XLON

74

195.20

13:05

XLON

79

195.30

13:13

XLON

82

195.30

13:21

XLON

80

195.80

13:27

XLON

409

195.30

13:28

XLON

519

194.80

13:30

XLON

277

194.80

13:30

XLON

632

194.80

13:30

XLON

110

195.00

13:30

XLON

75

196.80

13:35

XLON

81

196.80

13:45

XLON

658

196.40

13:48

XLON

73

196.40

13:52

XLON

75

196.40

13:55

XLON

80

196.80

13:56

XLON

77

196.40

14:06

XLON

579

196.00

14:11

XLON

81

195.90

14:17

XLON

80

196.20

14:28

XLON

297

195.90

14:30

XLON

69

195.90

14:30

XLON

272

195.60

14:33

XLON

664

195.60

14:33

XLON

82

195.40

14:33

XLON

70

195.60

14:33

XLON

70

195.60

14:34

XLON

417

195.20

14:36

XLON

1

195.60

14:38

XLON

73

194.70

14:39

XLON

71

195.40

14:39

XLON

80

195.40

14:43

XLON

728

194.60

14:45

XLON

82

194.70

14:50

XLON

569

194.40

14:51

XLON

31

194.40

14:51

XLON

74

194.60

14:54

XLON

77

194.50

14:56

XLON

80

194.80

14:57

XLON

81

194.70

15:02

XLON

76

194.60

15:07

XLON

80

195.00

15:12

XLON

83

194.60

15:13

XLON

79

195.10

15:14

XLON

326

195.90

15:16

XLON

297

195.90

15:16

XLON

487

195.90

15:16

XLON

82

195.60

15:17

XLON

77

195.90

15:21

XLON

277

195.60

15:22

XLON

78

195.40

15:22

XLON

653

195.60

15:22

XLON

80

195.80

15:25

XLON

75

195.30

15:27

XLON

79

195.30

15:28

XLON

73

195.30

15:32

XLON

1,380

195.00

15:35

XLON

200

195.00

15:35

XLON

19

194.60

15:35

XLON

80

194.80

15:38

XLON

71

194.50

15:39

XLON

77

194.50

15:43

XLON

78

194.50

15:45

XLON

158

194.80

15:46

XLON

667

195.00

15:55

XLON

330

195.00

15:55

XLON

16

194.80

16:02

XLON

647

195.00

16:02

XLON

298

195.00

16:02

XLON

123

195.00

16:02

XLON

10

194.90

16:06

XLON

298

195.20

16:09

XLON

757

195.20

16:10

XLON

72

194.90

16:10

XLON

76

194.90

16:10

XLON

1

194.90

16:12

XLON

80

194.90

16:13

XLON

782

194.60

16:14

XLON

750

194.60

16:14

XLON

76

194.60

16:17

XLON

75

194.80

16:18

XLON

350

194.60

16:21

XLON

1,043

194.60

16:21

XLON

50

194.60

16:22

XLON

297

194.60

16:22

XLON

1

194.80

16:22

XLON

327

194.80

16:24

XLON

81

194.80

16:25

XLON

280

194.80

16:25

XLON

1,129

194.60

16:26

XLON

150

194.60

16:26

XLON

418

194.40

16:26

XLON

63

194.40

16:28

XLON

 

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