Transaction in Own Shares

Summary by AI BETAClose X

Hill & Smith PLC has purchased 18,000 ordinary shares for cancellation on May 21, 2026, as part of its £100 million share buyback program initiated on August 13, 2025. The shares were acquired at a volume-weighted average price of 2,646.95 pence, with the highest price paid being 2,650.00 pence and the lowest at 2,635.00 pence. Following this transaction and subsequent cancellation, the total number of ordinary shares in issue is now 78,716,604, with 2,141,741 shares repurchased to date under the program.

Disclaimer*

Hill & Smith PLC
22 May 2026
 

 

HILL & SMITH PLC

(the 'Company')

Transaction in own shares

 

The Company announces that on 21 May 2026 it purchased for cancellation a total of 18,000 ordinary shares of 25 pence each from Deutsche Bank AG, London Branch (trading for these purposes as Deutsche Numis) as part of its £100m share buyback programme announced on 13 August 2025 (the 'Programme'). All shares were purchased as an 'on exchange' transaction subject to the rules of the London Stock Exchange.

Date of purchase:

21 May 2026

Total number of shares purchased:

18,000

Highest price paid per share (pence):

2,650.00

Lowest Price paid per share (pence):

2,635.00

Volume weighted average price paid per share (pence):

2,646.9464

 

Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 78,716,604. To date 2,141,741 ordinary shares in aggregate have been purchased for cancellation in accordance with the Programme.

The detailed breakdown of individual trades made by Deutsche Bank AG, London Branch (trading for these purposes as Deutsche Numis) as principal in connection with the above purchases as part of the Programme is set out below:

Aggregate Information

Trading Venue

Weighted average price

(pence per share)

Aggregate Volume

XLON

2,646.9464

18,000

Transaction Details

Issuer Name

Hill & Smith PLC

ISIN

GB0004270301

Intermediary name

Deutsche Bank AG

Intermediary code

DBNUGB2L

Time zone

GMT+1

Currency

GBP

Individual Transactions

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK time)

Transaction reference number

Trading venue

73

2650.00

 11:35:31

00080813857TRLO0

XLON

505

2650.00

 11:35:31

00080813856TRLO0

XLON

577

2650.00

 11:35:31

00080813855TRLO0

XLON

638

2650.00

 11:35:31

00080813854TRLO0

XLON

844

2645.00

 11:35:51

00080813873TRLO0

XLON

600

2640.00

 11:38:14

00080813983TRLO0

XLON

184

2640.00

 11:38:14

00080813989TRLO0

XLON

33

2640.00

 11:38:14

00080813988TRLO0

XLON

173

2640.00

 11:38:14

00080813987TRLO0

XLON

259

2640.00

 11:38:14

00080813986TRLO0

XLON

571

2645.00

 12:23:45

00080815945TRLO0

XLON

360

2645.00

 12:23:45

00080815944TRLO0

XLON

188

2645.00

 12:23:45

00080815943TRLO0

XLON

232

2645.00

 12:23:45

00080815946TRLO0

XLON

540

2645.00

 12:56:31

00080817305TRLO0

XLON

656

2645.00

 13:21:07

00080817825TRLO0

XLON

368

2645.00

 14:03:08

00080818756TRLO0

XLON

273

2645.00

 14:03:16

00080818757TRLO0

XLON

239

2640.00

 14:08:45

00080818902TRLO0

XLON

17

2640.00

 14:08:45

00080818901TRLO0

XLON

632

2640.00

 14:08:45

00080818900TRLO0

XLON

17

2640.00

 14:08:45

00080818899TRLO0

XLON

299

2640.00

 14:08:45

00080818898TRLO0

XLON

1

2635.00

 14:33:24

00080819622TRLO0

XLON

33

2635.00

 14:33:24

00080819621TRLO0

XLON

30

2635.00

 14:41:01

00080820031TRLO0

XLON

2

2635.00

 14:41:01

00080820032TRLO0

XLON

57

2645.00

 14:51:58

00080820521TRLO0

XLON

3

2645.00

 14:51:58

00080820522TRLO0

XLON

600

2650.00

 15:18:57

00080822234TRLO0

XLON

606

2650.00

 15:18:57

00080822233TRLO0

XLON

628

2650.00

 15:18:57

00080822232TRLO0

XLON

473

2650.00

 15:18:57

00080822231TRLO0

XLON

176

2650.00

 15:18:57

00080822230TRLO0

XLON

567

2650.00

 15:18:57

00080822229TRLO0

XLON

643

2650.00

 15:18:57

00080822228TRLO0

XLON

562

2650.00

 15:18:57

00080822227TRLO0

XLON

282

2650.00

 15:18:57

00080822236TRLO0

XLON

349

2650.00

 15:18:57

00080822235TRLO0

XLON

112

2645.00

 15:21:02

00080822312TRLO0

XLON

678

2645.00

 15:21:02

00080822313TRLO0

XLON

577

2650.00

 15:37:02

00080822999TRLO0

XLON

31

2645.00

 15:41:37

00080823197TRLO0

XLON

30

2645.00

 15:41:37

00080823196TRLO0

XLON

86

2645.00

 15:41:37

00080823195TRLO0

XLON

567

2645.00

 15:41:37

00080823194TRLO0

XLON

16

2645.00

 15:42:11

00080823232TRLO0

XLON

185

2645.00

 15:47:53

00080823546TRLO0

XLON

10

2645.00

 15:47:53

00080823547TRLO0

XLON

44

2645.00

 15:48:02

00080823551TRLO0

XLON

252

2650.00

 15:54:01

00080824111TRLO0

XLON

240

2650.00

 15:54:01

00080824110TRLO0

XLON

22

2645.00

 15:58:35

00080824363TRLO0

XLON

16

2645.00

 16:13:11

00080825317TRLO0

XLON

220

2650.00

 16:13:35

00080825338TRLO0

XLON

53

2650.00

 16:13:35

00080825337TRLO0

XLON

88

2650.00

 16:14:59

00080825464TRLO0

XLON

30

2650.00

 16:14:59

00080825463TRLO0

XLON

215

2650.00

 16:14:59

00080825462TRLO0

XLON

55

2650.00

 16:14:59

00080825461TRLO0

XLON

284

2650.00

 16:14:59

00080825460TRLO0

XLON

44

2650.00

 16:14:59

00080825465TRLO0

XLON

185

2650.00

 16:14:59

00080825468TRLO0

XLON

184

2650.00

 16:14:59

00080825467TRLO0

XLON

284

2650.00

 16:14:59

00080825466TRLO0

XLON

18

2650.00

 16:14:59

00080825470TRLO0

XLON

184

2650.00

 16:14:59

00080825469TRLO0

XLON

Enquiries:

Karen Atterbury

Group Company Secretary

0121 704 7430

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