Transaction in Own Shares

Summary by AI BETAClose X

Galliford Try Holdings PLC has announced the purchase of 7,500 ordinary shares on April 7, 2026, at a weighted average price of 496.62 GBp, with individual transactions ranging from 493.50 GBp to 500.00 GBp. These shares were acquired as part of the buyback programme initiated on September 17, 2025, and the company intends to cancel them. Following these purchases, Galliford Try has acquired a total of 1,927,186 shares, leaving 100,357,160 ordinary shares in issue, which represents the total number of voting rights.

Disclaimer*

Galliford Try Holdings PLC
13 April 2026
 

13 April 2026

Galliford Try Holdings plc

Transaction in Own Shares

GALLIFORD TRY HOLDINGS PLC ("Galliford Try", or the "Company") announces that in the period from 07 April 2026 to 10 April 2026 it purchased the following number of its Ordinary shares of 50p each from Panmure Liberum Limited as part of the buyback programme announced on 17 September 2025.

 

Date of Purchase

Number of ordinary shares purchased

Weighted average price per day (GBp)

Highest price per share (GBp)

Lowest price per share (GBp)

07 April 2026

7,500

496.62

500.00

493.50

Broker

PANMURE LIBERUM LIMITED

 

Galliford Try intends to cancel the purchased shares.

Following settlement of the above purchases, Galliford Try has purchased a total of 1,927,186 shares since the commencement of the buyback programme and will have 100,357,160 ordinary shares of 50 pence each in issue. There are 0 shares held in treasury. This figure 100,357,160 represents the total number of voting rights in Galliford Try and can be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or change to their interest in, the Company under the Financial Conduct Authority's Disclosure and Transparency Rules.

Aggregate information:

 

Venue

Volume-weighted average price (GBp)

Aggregated volume

Lowest price per share (GBp)

Highest price per share (GBp)

XLON

496.62

7,500

493.50

500.00

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as such Regulation has become part of domestic law by virtue of and for the purposes of the European Union (Withdrawal) Act 2018 (as amended by the European Union (Withdrawal Agreement) Act 2020) and as such Regulation has been amended in such form by any regulations made under that Act), the schedule below contains detailed and aggregated information of the individual trades made by Panmure Liberum Limited as part of the buyback programme.

This announcement is made in accordance with the requirements of Listing Rule 9.6.6.

For further enquiries, please contact:

Kevin Corbett, General Counsel & Company Secretary 01895 855 001

 

 

 

 

 

 

 

 

 

Schedule of Purchases - Individual Transactions

Date of transaction

Time of transaction

Number of shares purchased

Transaction price (GBp)

Venue

Trade ID

07/04/2026

10:00:31

269

498.5

XLON

00044354275TRLO0

07/04/2026

10:00:31

141

498.5

XLON

00044354276TRLO0

07/04/2026

10:18:30

271

499

XLON

00044354774TRLO0

07/04/2026

11:09:24

293

500

XLON

00044356030TRLO0

07/04/2026

11:09:24

223

500

XLON

00044356029TRLO0

07/04/2026

11:42:04

305

498.5

XLON

00044357028TRLO0

07/04/2026

12:16:51

325

497

XLON

00044357922TRLO0

07/04/2026

12:54:28

341

498

XLON

00044359015TRLO0

07/04/2026

13:25:37

256

497

XLON

00044360152TRLO0

07/04/2026

13:55:53

404

496

XLON

00044361042TRLO0

07/04/2026

14:29:40

436

496

XLON

00044362379TRLO0

07/04/2026

14:29:40

120

496

XLON

00044362378TRLO0

07/04/2026

14:39:08

528

495.5

XLON

00044363087TRLO0

07/04/2026

14:53:21

100

495.5

XLON

00044363778TRLO0

07/04/2026

14:53:21

384

495.5

XLON

00044363777TRLO0

07/04/2026

15:06:16

481

493.5

XLON

00044364398TRLO0

07/04/2026

15:17:15

353

495

XLON

00044365064TRLO0

07/04/2026

15:46:39

539

498

XLON

00044366447TRLO0

07/04/2026

15:47:18

377

497.5

XLON

00044366498TRLO0

07/04/2026

15:59:06

378

496

XLON

00044367213TRLO0

07/04/2026

15:59:49

31

495.5

XLON

00044367298TRLO0

07/04/2026

16:12:05

500

494.5

XLON

00044368148TRLO0

07/04/2026

16:22:32

122

495.5

XLON

00044368896TRLO0

07/04/2026

16:24:21

323

496

XLON

00044369046TRLO0

 

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