Transaction in Own Shares

Summary by AI BETAClose X

Gamma Communications plc has purchased 33,879 ordinary shares on June 25, 2026, as part of its ongoing share buyback program, with prices ranging from 830.00 to 857.00 pence per share, and a weighted average of 844.6025 pence. These shares are intended for cancellation, and following this transaction, the company will have 89,915,258 ordinary shares in issue. The total number of shares purchased under the buyback program since its commencement is 2,315,130.

Disclaimer*

Gamma Communications PLC
26 June 2026
 

26 June 2026

 

NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION, IN WHOLE OR IN PART, DIRECTLY OR INDIRECTLY, IN, INTO OR FROM ANY JURISDICTION WHERE TO DO SO WOULD CONSTITUTE A VIOLATION OF THE RELEVANT LAWS OF THAT JURISDICTION                    

Gamma Communications plc

 

Transaction in Own Shares and Rule 2.9 Announcement

 

Gamma Communications plc ("Gamma" or the "Company") announces today that in accordance with the terms of its share buyback programme announced on 13 January 2026 (the "Buyback Programme"), it has purchased the following number of its ordinary shares of 0.25 pence each ("ordinary shares") through Investec Bank plc ("Investec").

 

Ordinary shares

Date of purchase:

25 June 2026

Number of ordinary shares purchased:

33,879

Lowest price per share (pence):

830.00

Highest price per share (pence):

857.00

Weighted average price per day (pence):

844.6025

 

 The Company intends to cancel the purchased ordinary shares.

 

Following settlement of the above purchases, Gamma has purchased a total of 2,315,130 ordinary shares since the commencement of the buyback programme and will have 91,449,221 ordinary shares in issue. There are 1,533,963 ordinary shares held in treasury. The total voting rights in the Company are therefore 89,915,258 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.

 

Rule 2.9

The Company announced on 7 April 2026 that it had entered into an offer period. The ordinary shares are relevant securities of Gamma for the purposes of Rule 8 of The City Code on Takeovers and Mergers (the "Code"). In accordance with Rule 2.9 of the Code, the Company confirms that it has 89,915,258 ordinary shares in issue (excluding treasury shares) as at the date and time of this announcement. The ordinary shares are voting shares (each such ordinary share carries one vote per ordinary share) and are admitted to trading on the main market of the London Stock Exchange under the International Securities Identification Number GB00BQS10J50 and the Company's LEI number is 213800LAQZXPRIZUEH50.

 

Aggregate information:

Venue

Volume-weighted average price (p)

Aggregated volume

Lowest price per share (p)

Highest price per share (p)

XLON

844.6025

33,879

830.00

857.00

 

 

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 found below.

 

Date and time of each trade

Number of shares purchased

Price (pence per share)

Trading Venue

Transaction Reference Number

25 June 2026 08:01:00

86

                      833.00

XLON

00401495409TRLO1

25 June 2026 08:06:05

88

                      833.00

XLON

00401500146TRLO1

25 June 2026 08:06:18

87

                      839.50

XLON

00401500299TRLO1

25 June 2026 08:06:18

87

                      839.00

XLON

00401500300TRLO1

25 June 2026 08:06:18

87

                      840.00

XLON

00401500301TRLO1

25 June 2026 08:11:15

91

                      832.00

XLON

00401504476TRLO1

25 June 2026 08:26:35

88

                      833.00

XLON

00401518850TRLO1

25 June 2026 08:26:35

88

                      833.50

XLON

00401518851TRLO1

25 June 2026 08:30:05

92

                      836.00

XLON

00401522146TRLO1

25 June 2026 08:44:36

84

                      841.00

XLON

00401537692TRLO1

25 June 2026 08:55:10

181

                      846.50

XLON

00401550634TRLO1

25 June 2026 08:55:10

181

                      847.00

XLON

00401550635TRLO1

25 June 2026 08:55:10

183

                      846.00

XLON

00401550636TRLO1

25 June 2026 08:55:10

126

                      846.00

XLON

00401550642TRLO1

25 June 2026 08:55:11

184

                      845.00

XLON

00401550654TRLO1

25 June 2026 08:55:52

92

                      843.00

XLON

00401551587TRLO1

25 June 2026 09:01:32

85

                      848.00

XLON

00401557973TRLO1

25 June 2026 09:02:57

87

                      846.50

XLON

00401559699TRLO1

25 June 2026 09:09:31

47

                      846.00

XLON

00401568327TRLO1

25 June 2026 09:09:31

45

                      846.00

XLON

00401568328TRLO1

25 June 2026 09:20:13

85

                      847.50

XLON

00401581416TRLO1

25 June 2026 09:20:13

10

                      848.00

XLON

00401581417TRLO1

25 June 2026 09:20:13

24

                      848.00

XLON

00401581418TRLO1

25 June 2026 09:20:13

70

                      848.00

XLON

00401581419TRLO1

25 June 2026 09:20:13

63

                      848.50

XLON

00401581420TRLO1

25 June 2026 09:20:13

15

                      848.50

XLON

00401581421TRLO1

25 June 2026 09:20:13

85

                      846.50

XLON

00401581422TRLO1

25 June 2026 09:23:25

2

                      849.00

XLON

00401585423TRLO1

25 June 2026 09:23:26

89

                      848.00

XLON

00401585443TRLO1

25 June 2026 09:25:06

85

                      842.50

XLON

00401587612TRLO1

25 June 2026 09:30:26

18

                      844.00

XLON

00401594687TRLO1

25 June 2026 09:30:27

22

                      842.50

XLON

00401594724TRLO1

25 June 2026 09:30:27

63

                      842.50

XLON

00401594725TRLO1

25 June 2026 09:30:30

88

                      843.00

XLON

00401594804TRLO1

25 June 2026 09:33:54

4

                      845.00

XLON

00401599179TRLO1

25 June 2026 09:35:24

86

                      843.50

XLON

00401601106TRLO1

25 June 2026 09:35:38

90

                      846.50

XLON

00401601408TRLO1

25 June 2026 09:35:38

90

                      847.00

XLON

00401601409TRLO1

25 June 2026 09:35:38

90

                      845.00

XLON

00401601410TRLO1

25 June 2026 09:35:38

90

                      845.50

XLON

00401601411TRLO1

25 June 2026 09:35:38

90

                      845.50

XLON

00401601413TRLO1

25 June 2026 09:35:38

90

                      847.50

XLON

00401601414TRLO1

25 June 2026 09:35:38

91

                      846.00

XLON

00401601415TRLO1

25 June 2026 09:35:38

91

                      845.50

XLON

00401601416TRLO1

25 June 2026 09:35:38

91

                      847.50

XLON

00401601417TRLO1

25 June 2026 09:35:38

91

                      847.50

XLON

00401601418TRLO1

25 June 2026 09:35:39

90

                      845.50

XLON

00401601438TRLO1

25 June 2026 09:35:39

89

                      845.50

XLON

00401601439TRLO1

25 June 2026 09:35:46

90

                      846.50

XLON

00401601575TRLO1

25 June 2026 09:35:46

90

                      845.00

XLON

00401601576TRLO1

25 June 2026 09:35:46

91

                      845.00

XLON

00401601577TRLO1

25 June 2026 09:36:41

91

                      843.00

XLON

00401602711TRLO1

25 June 2026 09:46:14

259

                      844.00

XLON

00401616691TRLO1

25 June 2026 09:46:15

261

                      843.50

XLON

00401616702TRLO1

25 June 2026 09:46:20

174

                      843.50

XLON

00401616811TRLO1

25 June 2026 09:55:40

6

                      844.50

XLON

00401630790TRLO1

25 June 2026 09:55:40

36

                      844.50

XLON

00401630791TRLO1

25 June 2026 09:55:40

35

                      844.50

XLON

00401630792TRLO1

25 June 2026 09:55:40

14

                      844.50

XLON

00401630793TRLO1

25 June 2026 09:57:13

21

                      844.00

XLON

00401633996TRLO1

25 June 2026 09:57:13

56

                      844.00

XLON

00401633997TRLO1

25 June 2026 09:57:13

90

                      844.00

XLON

00401633998TRLO1

25 June 2026 09:57:13

21

                      844.00

XLON

00401633999TRLO1

25 June 2026 09:57:13

14

                      844.00

XLON

00401634000TRLO1

25 June 2026 09:57:14

87

                      843.50

XLON

00401634024TRLO1

25 June 2026 10:08:40

179

                      842.50

XLON

00401655860TRLO1

25 June 2026 10:16:23

89

                      841.00

XLON

00401671838TRLO1

25 June 2026 10:16:23

88

                      841.00

XLON

00401671839TRLO1

25 June 2026 10:17:20

182

                      840.00

XLON

00401673769TRLO1

25 June 2026 10:29:08

26

                      842.50

XLON

00401697127TRLO1

25 June 2026 10:29:08

101

                      842.00

XLON

00401697137TRLO1

25 June 2026 10:29:08

82

                      842.00

XLON

00401697138TRLO1

25 June 2026 10:33:20

1

                      843.00

XLON

00401708572TRLO1

25 June 2026 10:33:20

181

                      842.50

XLON

00401708573TRLO1

25 June 2026 10:33:20

174

                      842.00

XLON

00401708574TRLO1

25 June 2026 10:33:27

174

                      841.50

XLON

00401708834TRLO1

25 June 2026 10:33:49

180

                      839.50

XLON

00401709907TRLO1

25 June 2026 10:33:49

178

                      838.50

XLON

00401709913TRLO1

25 June 2026 10:33:49

3

                      837.50

XLON

00401709914TRLO1

25 June 2026 10:33:49

91

                      837.50

XLON

00401709915TRLO1

25 June 2026 10:55:49

178

                      838.50

XLON

00401755983TRLO1

25 June 2026 10:55:49

89

                      838.50

XLON

00401755984TRLO1

25 June 2026 10:55:49

217

                      838.00

XLON

00401755991TRLO1

25 June 2026 10:55:49

40

                      838.00

XLON

00401755992TRLO1

25 June 2026 10:58:00

178

                      837.50

XLON

00401759625TRLO1

25 June 2026 11:00:40

172

                      837.00

XLON

00401761408TRLO1

25 June 2026 11:00:54

44

                      836.00

XLON

00401761424TRLO1

25 June 2026 11:01:05

4

                      836.00

XLON

00401761441TRLO1

25 June 2026 11:01:26

4

                      836.00

XLON

00401761498TRLO1

25 June 2026 11:01:27

122

                      836.00

XLON

00401761499TRLO1

25 June 2026 11:01:27

44

                      836.00

XLON

00401761500TRLO1

25 June 2026 11:01:49

85

                      838.00

XLON

00401761518TRLO1

25 June 2026 11:01:49

93

                      837.50

XLON

00401761519TRLO1

25 June 2026 11:04:15

93

                      836.50

XLON

00401761604TRLO1

25 June 2026 11:10:38

89

                      834.50

XLON

00401761853TRLO1

25 June 2026 11:10:38

89

                      834.50

XLON

00401761854TRLO1

25 June 2026 11:17:41

85

                      833.50

XLON

00401772535TRLO1

25 June 2026 11:17:41

84

                      833.50

XLON

00401772536TRLO1

25 June 2026 11:17:41

84

                      833.50

XLON

00401772537TRLO1

25 June 2026 11:18:14

254

                      832.50

XLON

00401772550TRLO1

25 June 2026 11:18:53

266

                      831.50

XLON

00401772568TRLO1

25 June 2026 11:19:25

182

                      831.00

XLON

00401772591TRLO1

25 June 2026 11:33:08

88

                      834.50

XLON

00401773199TRLO1

25 June 2026 11:40:48

91

                      834.50

XLON

00401773404TRLO1

25 June 2026 11:40:49

93

                      833.00

XLON

00401773405TRLO1

25 June 2026 11:42:49

257

                      837.50

XLON

00401773463TRLO1

25 June 2026 11:42:50

273

                      838.50

XLON

00401773464TRLO1

25 June 2026 11:42:50

258

                      838.00

XLON

00401773465TRLO1

25 June 2026 11:42:50

516

                      840.00

XLON

00401773466TRLO1

25 June 2026 11:43:12

258

                      841.50

XLON

00401773666TRLO1

25 June 2026 11:43:15

277

                      841.50

XLON

00401773859TRLO1

25 June 2026 11:43:46

277

                      840.50

XLON

00401773885TRLO1

25 June 2026 11:43:49

264

                      840.50

XLON

00401773891TRLO1

25 June 2026 11:43:49

264

                      840.50

XLON

00401773892TRLO1

25 June 2026 11:43:49

42

                      840.50

XLON

00401773893TRLO1

25 June 2026 11:43:49

264

                      841.00

XLON

00401773894TRLO1

25 June 2026 11:44:17

352

                      840.50

XLON

00401773905TRLO1

25 June 2026 11:44:17

120

                      840.50

XLON

00401773906TRLO1

25 June 2026 11:44:17

147

                      840.50

XLON

00401773907TRLO1

25 June 2026 11:44:55

268

                      840.00

XLON

00401773941TRLO1

25 June 2026 11:44:55

89

                      840.00

XLON

00401773942TRLO1

25 June 2026 11:45:14

176

                      840.00

XLON

00401774007TRLO1

25 June 2026 11:45:14

87

                      840.00

XLON

00401774008TRLO1

25 June 2026 11:45:28

107

                      840.00

XLON

00401774022TRLO1

25 June 2026 11:45:28

78

                      840.00

XLON

00401774023TRLO1

25 June 2026 11:45:28

92

                      840.00

XLON

00401774024TRLO1

25 June 2026 11:45:45

93

                      840.00

XLON

00401774035TRLO1

25 June 2026 11:45:45

92

                      840.00

XLON

00401774036TRLO1

25 June 2026 11:45:45

92

                      840.00

XLON

00401774037TRLO1

25 June 2026 11:45:45

93

                      840.00

XLON

00401774038TRLO1

25 June 2026 11:45:57

89

                      836.50

XLON

00401774070TRLO1

25 June 2026 11:48:04

91

                      835.50

XLON

00401774241TRLO1

25 June 2026 11:48:04

91

                      835.50

XLON

00401774242TRLO1

25 June 2026 11:48:04

91

                      835.50

XLON

00401774243TRLO1

25 June 2026 11:48:04

91

                      835.50

XLON

00401774244TRLO1

25 June 2026 11:48:18

171

                      834.50

XLON

00401774249TRLO1

25 June 2026 11:55:21

176

                      835.00

XLON

00401774485TRLO1

25 June 2026 12:00:24

1

                      834.00

XLON

00401774620TRLO1

25 June 2026 12:00:24

2

                      834.00

XLON

00401774621TRLO1

25 June 2026 12:00:24

2

                      834.00

XLON

00401774622TRLO1

25 June 2026 12:09:29

176

                      833.00

XLON

00401774993TRLO1

25 June 2026 12:09:29

170

                      832.00

XLON

00401774995TRLO1

25 June 2026 12:16:15

12

                      831.00

XLON

00401775211TRLO1

25 June 2026 12:16:36

12

                      831.00

XLON

00401775222TRLO1

25 June 2026 12:18:43

67

                      831.00

XLON

00401775268TRLO1

25 June 2026 12:18:43

12

                      831.00

XLON

00401775269TRLO1

25 June 2026 12:18:43

12

                      831.00

XLON

00401775270TRLO1

25 June 2026 12:18:53

85

                      830.00

XLON

00401775277TRLO1

25 June 2026 12:20:36

91

                      834.50

XLON

00401775337TRLO1

25 June 2026 12:20:36

92

                      833.50

XLON

00401775338TRLO1

25 June 2026 12:20:48

92

                      832.50

XLON

00401775340TRLO1

25 June 2026 12:25:56

85

                      839.00

XLON

00401775523TRLO1

25 June 2026 12:25:56

92

                      838.00

XLON

00401775524TRLO1

25 June 2026 12:25:56

32

                      835.00

XLON

00401775525TRLO1

25 June 2026 12:25:57

93

                      839.50

XLON

00401775526TRLO1

25 June 2026 12:27:52

86

                      845.00

XLON

00401775622TRLO1

25 June 2026 12:47:36

178

                      844.00

XLON

00401776362TRLO1

25 June 2026 12:47:41

38

                      843.00

XLON

00401776363TRLO1

25 June 2026 12:52:51

124

                      843.00

XLON

00401776587TRLO1

25 June 2026 12:53:52

8

                      843.00

XLON

00401776598TRLO1

25 June 2026 12:54:47

11

                      843.00

XLON

00401776641TRLO1

25 June 2026 13:02:00

27

                      843.00

XLON

00401776838TRLO1

25 June 2026 13:02:00

8

                      843.00

XLON

00401776839TRLO1

25 June 2026 13:02:00

39

                      843.00

XLON

00401776840TRLO1

25 June 2026 13:02:00

11

                      843.00

XLON

00401776841TRLO1

25 June 2026 13:02:00

60

                      843.00

XLON

00401776842TRLO1

25 June 2026 13:02:00

25

                      843.00

XLON

00401776843TRLO1

25 June 2026 13:02:00

30

                      843.00

XLON

00401776844TRLO1

25 June 2026 13:02:00

60

                      843.00

XLON

00401776845TRLO1

25 June 2026 13:02:00

55

                      843.00

XLON

00401776846TRLO1

25 June 2026 13:02:00

25

                      843.00

XLON

00401776847TRLO1

25 June 2026 13:15:22

180

                      845.50

XLON

00401777375TRLO1

25 June 2026 13:15:32

179

                      845.50

XLON

00401777378TRLO1

25 June 2026 13:21:32

184

                      845.00

XLON

00401777712TRLO1

25 June 2026 13:33:10

268

                      848.50

XLON

00401778539TRLO1

25 June 2026 13:39:54

150

                      849.50

XLON

00401778988TRLO1

25 June 2026 13:39:55

135

                      849.00

XLON

00401778993TRLO1

25 June 2026 13:42:04

4

                      849.00

XLON

00401779091TRLO1

25 June 2026 13:42:14

8

                      849.00

XLON

00401779096TRLO1

25 June 2026 13:43:02

5

                      849.00

XLON

00401779136TRLO1

25 June 2026 13:43:02

3

                      849.00

XLON

00401779137TRLO1

25 June 2026 13:43:14

8

                      849.00

XLON

00401779143TRLO1

25 June 2026 13:50:16

85

                      853.00

XLON

00401779603TRLO1

25 June 2026 13:52:02

89

                      852.00

XLON

00401779734TRLO1

25 June 2026 13:52:02

87

                      851.50

XLON

00401779735TRLO1

25 June 2026 13:59:51

87

                      851.00

XLON

00401780151TRLO1

25 June 2026 13:59:51

86

                      851.00

XLON

00401780152TRLO1

25 June 2026 13:59:51

87

                      851.00

XLON

00401780153TRLO1

25 June 2026 14:08:21

177

                      849.00

XLON

00401780482TRLO1

25 June 2026 14:11:26

178

                      849.00

XLON

00401780694TRLO1

25 June 2026 14:11:27

179

                      857.00

XLON

00401780695TRLO1

25 June 2026 14:11:35

114

                      855.00

XLON

00401780710TRLO1

25 June 2026 14:11:35

61

                      855.00

XLON

00401780711TRLO1

25 June 2026 14:20:11

174

                      854.00

XLON

00401781156TRLO1

25 June 2026 14:20:11

87

                      854.00

XLON

00401781157TRLO1

25 June 2026 14:20:11

86

                      854.00

XLON

00401781158TRLO1

25 June 2026 14:26:40

268

                      853.00

XLON

00401781411TRLO1

25 June 2026 14:29:22

259

                      852.50

XLON

00401781543TRLO1

25 June 2026 14:29:23

160

                      852.50

XLON

00401781544TRLO1

25 June 2026 14:30:00

87

                      853.00

XLON

00401781594TRLO1

25 June 2026 14:30:41

62

                      854.50

XLON

00401781749TRLO1

25 June 2026 14:30:41

216

                      854.50

XLON

00401781750TRLO1

25 June 2026 14:31:15

253

                      853.50

XLON

00401781856TRLO1

25 June 2026 14:32:46

264

                      853.00

XLON

00401782020TRLO1

25 June 2026 14:32:46

269

                      853.00

XLON

00401782022TRLO1

25 June 2026 14:33:41

180

                      852.50

XLON

00401782098TRLO1

25 June 2026 14:38:22

87

                      853.00

XLON

00401782477TRLO1

25 June 2026 14:40:05

91

                      852.50

XLON

00401782627TRLO1

25 June 2026 14:40:06

87

                      852.00

XLON

00401782628TRLO1

25 June 2026 14:42:36

86

                      851.50

XLON

00401782910TRLO1

25 June 2026 14:42:36

86

                      851.50

XLON

00401782911TRLO1

25 June 2026 14:45:36

170

                      851.00

XLON

00401783104TRLO1

25 June 2026 14:45:36

169

                      851.00

XLON

00401783105TRLO1

25 June 2026 14:45:36

169

                      850.50

XLON

00401783106TRLO1

25 June 2026 14:45:55

170

                      850.00

XLON

00401783149TRLO1

25 June 2026 14:46:20

184

                      850.00

XLON

00401783193TRLO1

25 June 2026 14:48:03

274

                      850.50

XLON

00401783362TRLO1

25 June 2026 14:48:28

269

                      850.00

XLON

00401783411TRLO1

25 June 2026 14:48:28

26

                      850.00

XLON

00401783412TRLO1

25 June 2026 14:48:28

243

                      850.00

XLON

00401783413TRLO1

25 June 2026 14:48:29

117

                      850.00

XLON

00401783414TRLO1

25 June 2026 14:48:29

152

                      850.00

XLON

00401783415TRLO1

25 June 2026 14:48:32

268

                      850.00

XLON

00401783418TRLO1

25 June 2026 14:48:47

261

                      850.00

XLON

00401783433TRLO1

25 June 2026 14:49:16

255

                      848.50

XLON

00401783476TRLO1

25 June 2026 14:52:50

254

                      849.50

XLON

00401783754TRLO1

25 June 2026 14:54:16

255

                      849.00

XLON

00401783836TRLO1

25 June 2026 14:56:03

185

                      848.00

XLON

00401784000TRLO1

25 June 2026 14:56:03

92

                      848.00

XLON

00401784001TRLO1

25 June 2026 14:56:47

171

                      849.00

XLON

00401784055TRLO1

25 June 2026 14:56:47

85

                      849.00

XLON

00401784056TRLO1

25 June 2026 14:56:50

182

                      848.50

XLON

00401784060TRLO1

25 June 2026 14:57:07

176

                      848.00

XLON

00401784069TRLO1

25 June 2026 15:01:31

183

                      846.50

XLON

00401784435TRLO1

25 June 2026 15:04:27

174

                      847.00

XLON

00401784802TRLO1

25 June 2026 15:06:20

182

                      846.50

XLON

00401784992TRLO1

25 June 2026 15:11:11

169

                      850.50

XLON

00401785394TRLO1

25 June 2026 15:18:22

180

                      852.00

XLON

00401785965TRLO1

25 June 2026 15:19:47

183

                      852.50

XLON

00401786096TRLO1

25 June 2026 15:21:31

53

                      852.50

XLON

00401786379TRLO1

25 June 2026 15:21:31

36

                      852.50

XLON

00401786380TRLO1

25 June 2026 15:23:34

264

                      854.00

XLON

00401786529TRLO1

25 June 2026 15:25:02

185

                      853.50

XLON

00401786673TRLO1

25 June 2026 15:25:34

170

                      853.00

XLON

00401786733TRLO1

25 June 2026 15:30:11

183

                      851.50

XLON

00401787233TRLO1

25 June 2026 15:40:30

183

                      849.50

XLON

00401788130TRLO1

25 June 2026 15:45:48

185

                      850.00

XLON

00401788803TRLO1

25 June 2026 15:48:10

91

                      851.00

XLON

00401789004TRLO1

25 June 2026 15:48:10

181

                      851.00

XLON

00401789005TRLO1

25 June 2026 15:48:10

362

                      850.00

XLON

00401789006TRLO1

25 June 2026 15:48:10

272

                      850.00

XLON

00401789007TRLO1

25 June 2026 15:48:10

276

                      849.00

XLON

00401789008TRLO1

25 June 2026 15:48:19

185

                      847.50

XLON

00401789019TRLO1

25 June 2026 15:48:19

185

                      847.00

XLON

00401789020TRLO1

25 June 2026 15:50:07

257

                      845.50

XLON

00401789263TRLO1

25 June 2026 15:50:07

254

                      845.00

XLON

00401789264TRLO1

25 June 2026 15:50:07

255

                      844.50

XLON

00401789265TRLO1

25 June 2026 15:57:00

170

                      848.00

XLON

00401789789TRLO1

25 June 2026 15:57:59

183

                      847.00

XLON

00401789914TRLO1

25 June 2026 15:57:59

173

                      846.50

XLON

00401789915TRLO1

25 June 2026 16:00:12

86

                      847.50

XLON

00401790120TRLO1

25 June 2026 16:00:13

90

                      847.00

XLON

00401790122TRLO1

25 June 2026 16:00:13

85

                      847.00

XLON

00401790123TRLO1

25 June 2026 16:00:26

90

                      847.00

XLON

00401790133TRLO1

25 June 2026 16:00:27

88

                      846.00

XLON

00401790138TRLO1

25 June 2026 16:00:47

178

                      847.00

XLON

00401790193TRLO1

25 June 2026 16:00:47

92

                      846.00

XLON

00401790194TRLO1

25 June 2026 16:05:39

92

                      845.00

XLON

00401790706TRLO1

25 June 2026 16:05:39

91

                      845.00

XLON

00401790707TRLO1

25 June 2026 16:07:12

12

                      844.00

XLON

00401790897TRLO1

25 June 2026 16:07:15

158

                      844.00

XLON

00401790905TRLO1

25 June 2026 16:07:15

85

                      844.00

XLON

00401790906TRLO1

25 June 2026 16:11:12

183

                      843.00

XLON

00401791431TRLO1

25 June 2026 16:11:22

179

                      842.50

XLON

00401791456TRLO1

25 June 2026 16:16:28

90

                      841.50

XLON

00401792300TRLO1

25 June 2026 16:16:28

90

                      841.50

XLON

00401792301TRLO1

25 June 2026 16:17:31

175

                      840.50

XLON

00401792412TRLO1

25 June 2026 16:18:37

95

                      843.00

XLON

00401792597TRLO1

 

 

Enquiries:    

 

Gamma Communications plc

Martin Hellawell, Chair

Andrew Belshaw, Chief Executive Officer

Rachael Matzopoulos, Company Secretary

 

+44 (0) 33 3006 5972

Barclays Bank PLC, acting through its Investment Bank

(Lead Financial Adviser)

Alastair Blackman / Alex Evans / Callum West / Michael Hart

 

+44 (0) 20 7623 2323

Q Advisors (Joint Financial Adviser) 

Michael Quinn / Kristian MacCarter

 

+1 720 837 3214

Investec (Joint Financial Adviser and Joint Broker) 

Patrick Robb / Virginia Bull  

 

+44 (0) 20 7597 5970

Peel Hunt (Joint Financial Adviser and Joint Broker) 

Neil Patel / Alice Lane / Benjamin Cryer

  

+44 (0) 20 7418 8900 

Teneo (Financial PR Adviser) 

James Macey White / Matt Low

  

+44 (0) 20 7260 2700

Disclaimer

Barclays Bank PLC, acting through its Investment Bank ("Barclays"), which is authorised by the Prudential Regulation Authority and regulated in the United Kingdom by the Financial Conduct Authority and the Prudential Regulation Authority, is acting exclusively for Gamma and no one else in connection with the matters set out in this announcement and will not be responsible to anyone other than Gamma for providing the protections afforded to clients of Barclays nor for providing advice in relation to any matter referred to in this announcement.

Investec Bank plc ("Investec"), which is authorised by the Prudential Regulation Authority (the "PRA") and regulated by the Financial Conduct Authority and PRA in the United Kingdom, is acting exclusively for Gamma and for no one else in connection with the matters set out in this announcement and will not be responsible to any person other than Gamma for providing the protections afforded to clients of Investec, nor for providing advice in relation to any matter referred to in this announcement. Neither Investec nor any of its subsidiaries, branches or affiliates owes or accepts any duty, liability or responsibility whatsoever (whether direct or indirect, whether in contract, in tort, under statute or otherwise) to any person who is not a client of Investec in connection with this announcement, any statement contained herein or otherwise.

Peel Hunt LLP is authorised and regulated in the United Kingdom by the Financial Conduct Authority and is acting exclusively for Gamma and no one else in connection with the matters set out in this announcement and will not be responsible to anyone other than Gamma for providing the protections afforded to clients of Peel Hunt LLP nor for providing advice in relation to any matter referred to in this announcement.

In accordance with the Code, normal United Kingdom market practice and Rule 14e-5(b) of the Securities Exchange Act 1934 of the United States, Barclays, Investec, Peel Hunt and its affiliates will continue to act as exempt principal traders in Gamma securities on the London Stock Exchange. These purchases and activities by exempt principal traders which are required to be made public in the United Kingdom pursuant to the Code will be reported to a Regulatory Information Service and will be available on the London Stock Exchange website at www.londonstockexchange.com. This information will also be publicly disclosed in the United States to the extent that such information is made public in the United Kingdom.

Disclosure requirements of the Code

Under Rule 8.3(a) of the Code, any person who is interested in 1% or more of any class of relevant securities of an offeree company or of any securities exchange offeror (being any offeror other than an offeror in respect of which it has been announced that its offer is, or is likely to be, solely in cash) must make an Opening Position Disclosure following the commencement of the offer period and, if later, following the announcement in which any securities exchange offeror is first identified. An Opening Position Disclosure must contain details of the person's interests and short positions in, and rights to subscribe for, any relevant securities of each of (i) the offeree company and (ii) any securities exchange offeror(s). An Opening Position Disclosure by a person to whom Rule 8.3(a) applies must be made by no later than 3.30 pm (London time) on the 10th business day following the commencement of the offer period and, if appropriate, by no later than 3.30 pm (London time) on the 10th business day following the announcement in which any securities exchange offeror is first identified. Relevant persons who deal in the relevant securities of the offeree company or of a securities exchange offeror prior to the deadline for making an Opening Position Disclosure must instead make a Dealing Disclosure.

Under Rule 8.3(b) of the Code, any person who is, or becomes, interested in 1% or more of any class of relevant securities of the offeree company or of any securities exchange offeror must make a Dealing Disclosure if the person deals in any relevant securities of the offeree company or of any securities exchange offeror. A Dealing Disclosure must contain details of the dealing concerned and of the person's interests and short positions in, and rights to subscribe for, any relevant securities of each of (i) the offeree company and (ii) any securities exchange offeror(s), save to the extent that these details have previously been disclosed under Rule 8. A Dealing Disclosure by a person to whom Rule 8.3(b) applies must be made by no later than 3.30 pm (London time) on the business day following the date of the relevant dealing.

If two or more persons act together pursuant to an agreement or understanding, whether formal or informal, to acquire or control an interest in relevant securities of an offeree company or a securities exchange offeror, they will be deemed to be a single person for the purpose of Rule 8.3.Opening Position Disclosures must also be made by the offeree company and by any offeror and Dealing Disclosures must also be made by the offeree company, by any offeror and by any persons acting in concert with any of them (see Rules 8.1, 8.2 and 8.4).Details of the offeree and offeror companies in respect of whose relevant securities Opening Position Disclosures and Dealing Disclosures must be made can be found in the Disclosure Table on the Takeover Panel's website at www.thetakeoverpanel.org.uk, including details of the number of relevant securities in issue, when the offer period commenced and when any offeror was first identified. You should contact the Panel's Market Surveillance Unit on +44 (0) 20 7638 0129 if you are in any doubt as to whether you are required to make an Opening Position Disclosure or a Dealing Disclosure.

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.

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