Transaction in Own Shares

Summary by AI BETAClose X

Galliford Try Holdings PLC has purchased 61,387 of its ordinary shares between September 29, 2026, and October 5, 2026, at prices ranging from 698.00 pence to 707.00 pence, with a weighted average price of 703.82 pence. These shares are intended for cancellation, which will reduce the total number of ordinary shares in issue to 100,786,379. This buyback program, announced on September 17, 2026, impacts the company's share count and may be used by shareholders for notification purposes under FCA rules.

Disclaimer*

Galliford Try Holdings PLC
06 October 2026
 

 06 October 2026
 

 GALLIFORD TRY HOLDINGS PLC
 ("Galliford", or the "Company")
 Transaction in Own Shares

GALLIFORD TRY HOLDINGS PLC ("Galliford", or the "Company") announces that between 29 September 2026 and 05 October 2026 it has purchased the following number of its Ordinary shares of 50p each through Peel Hunt LLP.

Date of purchase

29 September 2026 - 05 October 2026

Number of ordinary shares purchased:

61,387

Lowest price per share (pence):

698.00

Highest price per share (pence):

707.00

Weighted average price per day (pence):

703.82

The Company intends to cancel the purchased shares and following the cancellation of the purchased shares, the Company will have 100,786,379 Ordinary shares in issue of which 0 are held in Treasury.

The figure of 100,786,379 may be used by shareholders as the denominator for calculating whether they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.

The table below contains detailed information about the purchases made as part of the buyback programme which was announced by the Company on 17 September 2026 (the "Programme").

 Aggregate information:

Date

Shares Purchased

Volume Weighted Average Price (p)

Lowest price paid per share (p)

Highest price paid per share (p)

30-09-2026

23,186

702.06

698.00

706.00

02-10-2026

26,701

707.00

707.00

707.00

05-10-2026

11,500

700.00

700.00

700.00

 

 

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 Peel Hunt on behalf of the Company as part of the Programme is detailed below:

Number of shares purchased

Transaction price (pence)

Venue

Trade Date

Trade Time

Transaction Reference Number

582

702.00

XLON

30-09-2026

08:21:08

00199940426TRLO1

627

702.00

XLON

30-09-2026

08:25:51

00199940769TRLO1

607

704.00

XLON

30-09-2026

08:41:30

00199942607TRLO1

650

705.00

XLON

30-09-2026

08:43:27

00199942781TRLO1

564

704.00

XLON

30-09-2026

08:44:51

00199942881TRLO1

577

706.00

XLON

30-09-2026

08:53:51

00199943612TRLO1

615

706.00

XLON

30-09-2026

09:04:29

00199944549TRLO1

670

704.00

XLON

30-09-2026

09:36:26

00199947440TRLO1

54

704.00

XLON

30-09-2026

09:45:30

00199948097TRLO1

549

704.00

XLON

30-09-2026

09:45:30

00199948098TRLO1

596

705.00

XLON

30-09-2026

09:55:32

00199948765TRLO1

653

704.00

XLON

30-09-2026

10:04:46

00199949426TRLO1

632

704.00

XLON

30-09-2026

10:18:25

00199950327TRLO1

135

703.00

XLON

30-09-2026

10:27:08

00199950855TRLO1

499

703.00

XLON

30-09-2026

10:27:08

00199950856TRLO1

568

702.00

XLON

30-09-2026

10:39:32

00199951789TRLO1

27

703.00

XLON

30-09-2026

10:46:42

00199952421TRLO1

550

703.00

XLON

30-09-2026

10:46:42

00199952422TRLO1

572

702.00

XLON

30-09-2026

10:52:18

00199953005TRLO1

629

699.00

XLON

30-09-2026

11:01:01

00199953553TRLO1

42

699.00

XLON

30-09-2026

11:01:01

00199953554TRLO1

603

699.00

XLON

30-09-2026

11:06:31

00199954009TRLO1

605

701.00

XLON

30-09-2026

11:30:03

00199955637TRLO1

636

700.00

XLON

30-09-2026

11:46:05

00199956793TRLO1

658

698.00

XLON

30-09-2026

12:02:00

00199958067TRLO1

639

699.00

XLON

30-09-2026

13:11:34

00199962939TRLO1

652

702.00

XLON

30-09-2026

13:14:13

00199963098TRLO1

576

702.00

XLON

30-09-2026

13:16:56

00199963320TRLO1

556

701.00

XLON

30-09-2026

13:17:00

00199963325TRLO1

656

702.00

XLON

30-09-2026

13:20:47

00199963680TRLO1

562

701.00

XLON

30-09-2026

13:25:34

00199964070TRLO1

607

703.00

XLON

30-09-2026

13:33:20

00199964820TRLO1

574

703.00

XLON

30-09-2026

13:54:01

00199966218TRLO1

581

702.00

XLON

30-09-2026

14:09:07

00199967349TRLO1

597

702.00

XLON

30-09-2026

14:13:50

00199967833TRLO1

617

700.00

XLON

30-09-2026

14:13:52

00199967840TRLO1

579

702.00

XLON

30-09-2026

14:55:53

00199973630TRLO1

612

702.00

XLON

30-09-2026

15:19:10

00199976749TRLO1

599

702.00

XLON

30-09-2026

15:24:52

00199977347TRLO1

635

700.00

XLON

30-09-2026

15:25:35

00199977449TRLO1

378

699.00

XLON

30-09-2026

15:43:44

00199980409TRLO1

606

700.00

XLON

30-09-2026

15:44:52

00199980553TRLO1

260

699.00

XLON

30-09-2026

15:51:35

00199981470TRLO1

26,701

707.00

XLON

02-10-2026

10:34:07

00200076447TRLO1

11,500

700.00

XLON

05-10-2026

15:36:46

00200161076TRLO1

 
 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

 

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