Transaction in Own Shares

Summary by AI BETAClose X

Gamma Communications plc has announced the purchase of 18,433 ordinary shares on January 13, 2026, through Investec Bank plc, with prices ranging from 919.00 pence to 926.00 pence per share, averaging 922.4999 pence. These shares are intended for cancellation, and following this transaction, the company will have 92,153,341 total voting rights in issue.

Disclaimer*

Gamma Communications PLC
14 January 2026
 

14 January 2026                                     

Gamma Communications plc

("Gamma" or the "Company")

Transaction in Own Shares

 

Gamma Communications plc ("Gamma" or the "Company") announces today it has purchased the following number of its ordinary shares of 0.25 pence each through Investec Bank plc ("Investec").

Ordinary Shares

Date of purchase:

13 January 2026

Number of ordinary shares purchased:

18,433

Lowest price per share (pence):

919.00

Highest price per share (pence):

926.00

Weighted average price per day (pence):

922.4999

 

The Company intends to cancel the purchased shares.

 

Following settlement of the above purchases, Gamma has purchased a total of 18,433 shares since the commencement of the buyback programme and will have 93,745,918 ordinary shares of 0.25p pence each in issue. There are 1,592,577 shares held in treasury. The total voting rights in the Company are therefore 92,153,341 and this 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 Guidance 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

922.4999

18,433

919.00

926.00

                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                     

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

13 January 2026 09:28:42

111

                       924.00

XLON

00370237026TRLO1

13 January 2026 09:32:43

111

                       925.00

XLON

00370239330TRLO1

13 January 2026 10:53:12

109

                       926.00

XLON

00370256530TRLO1

13 January 2026 10:53:19

104

                       926.00

XLON

00370256537TRLO1

13 January 2026 10:53:49

107

                       923.00

XLON

00370256562TRLO1

13 January 2026 10:56:06

104

                       921.00

XLON

00370256637TRLO1

13 January 2026 10:59:10

218

                       921.00

XLON

00370256757TRLO1

13 January 2026 11:07:30

322

                       920.00

XLON

00370257090TRLO1

13 January 2026 11:14:46

217

                       921.00

XLON

00370257413TRLO1

13 January 2026 11:22:58

109

                       919.00

XLON

00370257716TRLO1

13 January 2026 11:22:58

109

                       919.00

XLON

00370257717TRLO1

13 January 2026 11:22:58

109

                       919.00

XLON

00370257718TRLO1

13 January 2026 11:22:58

108

                       919.00

XLON

00370257719TRLO1

13 January 2026 11:28:03

207

                       921.00

XLON

00370257866TRLO1

13 January 2026 11:46:23

544

                       924.00

XLON

00370258668TRLO1

13 January 2026 11:46:23

109

                       924.00

XLON

00370258669TRLO1

13 January 2026 11:52:37

109

                       923.00

XLON

00370258992TRLO1

13 January 2026 11:52:37

108

                       923.00

XLON

00370258993TRLO1

13 January 2026 11:55:10

109

                       922.00

XLON

00370259196TRLO1

13 January 2026 12:01:53

103

                       922.00

XLON

00370259487TRLO1

13 January 2026 12:14:55

57

                       922.00

XLON

00370259862TRLO1

13 January 2026 12:15:30

444

                       923.00

XLON

00370259872TRLO1

13 January 2026 12:15:30

111

                       923.00

XLON

00370259873TRLO1

13 January 2026 12:25:08

218

                       923.00

XLON

00370260162TRLO1

13 January 2026 12:25:08

115

                       923.00

XLON

00370260163TRLO1

13 January 2026 12:25:23

206

                       922.00

XLON

00370260169TRLO1

13 January 2026 12:25:23

14

                       922.00

XLON

00370260170TRLO1

13 January 2026 12:34:32

108

                       926.00

XLON

00370260567TRLO1

13 January 2026 12:34:32

108

                       926.00

XLON

00370260568TRLO1

13 January 2026 12:34:32

108

                       926.00

XLON

00370260569TRLO1

13 January 2026 13:38:28

112

                       926.00

XLON

00370263134TRLO1

13 January 2026 13:38:28

112

                       926.00

XLON

00370263135TRLO1

13 January 2026 13:38:28

112

                       926.00

XLON

00370263136TRLO1

13 January 2026 13:54:06

536

                       923.00

XLON

00370263824TRLO1

13 January 2026 13:54:06

108

                       923.00

XLON

00370263825TRLO1

13 January 2026 14:04:25

438

                       923.00

XLON

00370264390TRLO1

13 January 2026 14:04:25

159

                       923.00

XLON

00370264391TRLO1

13 January 2026 14:35:23

117

                       925.00

XLON

00370265753TRLO1

13 January 2026 14:35:23

98

                       925.00

XLON

00370265754TRLO1

13 January 2026 14:35:23

107

                       925.00

XLON

00370265755TRLO1

13 January 2026 14:35:23

107

                       925.00

XLON

00370265756TRLO1

13 January 2026 14:35:41

61

                       925.00

XLON

00370265767TRLO1

13 January 2026 14:35:51

265

                       925.00

XLON

00370265790TRLO1

13 January 2026 14:36:40

51

                       926.00

XLON

00370265822TRLO1

13 January 2026 14:36:40

320

                       926.00

XLON

00370265823TRLO1

13 January 2026 14:37:09

264

                       925.00

XLON

00370265836TRLO1

13 January 2026 14:37:19

53

                       925.00

XLON

00370265845TRLO1

13 January 2026 14:37:19

264

                       925.00

XLON

00370265846TRLO1

13 January 2026 14:40:29

208

                       924.00

XLON

00370266029TRLO1

13 January 2026 14:40:29

103

                       924.00

XLON

00370266030TRLO1

13 January 2026 14:42:41

11

                       922.00

XLON

00370266158TRLO1

13 January 2026 14:43:32

444

                       924.00

XLON

00370266274TRLO1

13 January 2026 14:44:08

307

                       923.00

XLON

00370266347TRLO1

13 January 2026 14:46:34

317

                       922.00

XLON

00370266517TRLO1

13 January 2026 14:58:03

331

                       922.00

XLON

00370267923TRLO1

13 January 2026 14:59:27

91

                       921.00

XLON

00370268031TRLO1

13 January 2026 15:02:26

336

                       921.00

XLON

00370268516TRLO1

13 January 2026 15:02:26

91

                       921.00

XLON

00370268517TRLO1

13 January 2026 15:02:26

107

                       921.00

XLON

00370268518TRLO1

13 January 2026 15:03:38

48

                       921.00

XLON

00370268654TRLO1

13 January 2026 15:03:38

215

                       921.00

XLON

00370268655TRLO1

13 January 2026 15:03:56

77

                       920.00

XLON

00370268716TRLO1

13 January 2026 15:03:59

82

                       920.00

XLON

00370268722TRLO1

13 January 2026 15:04:07

61

                       920.00

XLON

00370268741TRLO1

13 January 2026 15:04:56

31

                       920.00

XLON

00370268819TRLO1

13 January 2026 15:04:56

337

                       920.00

XLON

00370268820TRLO1

13 January 2026 15:04:56

77

                       920.00

XLON

00370268821TRLO1

13 January 2026 15:12:52

56

                       920.00

XLON

00370269593TRLO1

13 January 2026 15:14:31

110

                       922.00

XLON

00370269713TRLO1

13 January 2026 15:14:31

106

                       922.00

XLON

00370269714TRLO1

13 January 2026 15:14:31

205

                       922.00

XLON

00370269715TRLO1

13 January 2026 15:14:31

167

                       922.00

XLON

00370269716TRLO1

13 January 2026 15:14:31

5

                       922.00

XLON

00370269717TRLO1

13 January 2026 15:24:03

541

                       922.00

XLON

00370270424TRLO1

13 January 2026 15:24:04

436

                       923.00

XLON

00370270425TRLO1

13 January 2026 15:24:04

100

                       923.00

XLON

00370270426TRLO1

13 January 2026 15:24:04

55

                       923.00

XLON

00370270427TRLO1

13 January 2026 15:24:54

217

                       923.00

XLON

00370270508TRLO1

13 January 2026 15:24:54

2

                       923.00

XLON

00370270509TRLO1

13 January 2026 15:25:07

32

                       922.00

XLON

00370270517TRLO1

13 January 2026 15:25:07

35

                       922.00

XLON

00370270518TRLO1

13 January 2026 15:25:07

375

                       922.00

XLON

00370270519TRLO1

13 January 2026 15:25:07

70

                       922.00

XLON

00370270520TRLO1

13 January 2026 15:25:08

307

                       922.00

XLON

00370270521TRLO1

13 January 2026 15:25:49

103

                       921.00

XLON

00370270556TRLO1

13 January 2026 15:25:55

87

                       920.00

XLON

00370270569TRLO1

13 January 2026 15:31:33

516

                       919.00

XLON

00370271078TRLO1

13 January 2026 15:34:05

330

                       920.00

XLON

00370271306TRLO1

13 January 2026 15:36:09

205

                       922.00

XLON

00370271529TRLO1

13 January 2026 15:49:33

896

                       922.00

XLON

00370272695TRLO1

13 January 2026 15:49:48

639

                       922.00

XLON

00370272701TRLO1

13 January 2026 15:50:32

48

                       923.00

XLON

00370272734TRLO1

13 January 2026 15:51:05

266

                       923.00

XLON

00370272764TRLO1

13 January 2026 15:51:05

48

                       923.00

XLON

00370272765TRLO1

13 January 2026 15:53:29

105

                       923.00

XLON

00370272910TRLO1

13 January 2026 15:57:27

439

                       923.00

XLON

00370273100TRLO1

13 January 2026 15:57:51

112

                       924.00

XLON

00370273125TRLO1

13 January 2026 15:59:08

107

                       922.00

XLON

00370273232TRLO1

13 January 2026 15:59:08

106

                       922.00

XLON

00370273233TRLO1

13 January 2026 15:59:08

107

                       922.00

XLON

00370273234TRLO1

13 January 2026 15:59:08

106

                       922.00

XLON

00370273235TRLO1

13 January 2026 15:59:08

110

                       921.00

XLON

00370273236TRLO1

13 January 2026 15:59:50

110

                       920.00

XLON

00370273269TRLO1

 

For further information:

 

Rachael Matzopoulos

Company Secretary

+44 (0)333 006 5972

 

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 or visit 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.
 
END
 
 
UK 100

Latest directors dealings