Transaction in Own Shares

Summary by AI BETAClose X

Pets At Home Group Plc has purchased 30,404 of its ordinary shares on November 28, 2025, as part of its ongoing share buyback program. The shares were acquired at prices ranging from 220.00 GBp to 221.00 GBp, with a volume-weighted average price of 220.67 GBp. These repurchased shares will be cancelled, reducing the total number of outstanding ordinary shares to 451,965,554, which will also represent the total voting rights. This reduction in shares outstanding is a key metric for shareholders to consider when calculating their notification obligations under the FCA's Disclosure Guidance and Transparency Rules.

Disclaimer*

Pets At Home Group Plc
01 December 2025
 

01 Dec 2025

                                                                            Pets at Home Group Plc

Transaction in Own Shares

Pets at Home Group Plc (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 9 June 2025 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary Shares of £0.01 each ("Ordinary Shares") through Jefferies International Limited.

Date of purchase:

28 Nov 25

Aggregate number of Ordinary Shares purchased:

30,404

Lowest price paid per share (GBp)

220.00

Highest price paid per share (GBp)

221.00

Volume weighted average price paid per share (GBp)

220.67

 

The purchased shares will be cancelled. Following the purchase of these shares, the remaining number of Ordinary Shares in issue will be 451,965,554 with no shares held in treasury. Therefore, the total voting rights in the Company will be 451,965,554. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) as the denominator for the calculations by which they will determine if 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.   

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by Jefferies International Limited as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Transaction reference number

Trading venue

764

221.000

08:05:05

00501697678TRLO1.1.1

XLON

576

221.000

08:07:43

00501698598TRLO1.1.1

XLON

625

221.000

08:11:02

00501699966TRLO1.1.1

XLON

587

220.400

08:16:08

00501702356TRLO1.1.1

XLON

628

220.200

08:26:02

00501705291TRLO1.1.1

XLON

618

220.200

08:37:45

00501709349TRLO1.1.1

XLON

675

220.400

08:41:46

00501710531TRLO1.1.1

XLON

567

220.000

08:47:47

00501712267TRLO1.1.1

XLON

666

220.200

08:57:15

00501714883TRLO1.1.1

XLON

46

220.400

09:05:18

00501717850TRLO1.1.1

XLON

79

220.400

09:07:52

00501718632TRLO1.1.1

XLON

761

220.400

09:14:05

00501720752TRLO1.1.1

XLON

723

220.400

09:17:57

00501722082TRLO1.1.1

XLON

228

220.200

09:23:22

00501723549TRLO1.1.1

XLON

514

220.200

09:23:22

00501723548TRLO1.1.1

XLON

508

220.200

09:31:31

00501726978TRLO1.1.1

XLON

247

220.200

09:31:31

00501726979TRLO1.1.1

XLON

14

220.200

09:36:01

00501728813TRLO1.1.1

XLON

85

220.200

09:36:01

00501728814TRLO1.1.1

XLON

642

220.200

09:36:01

00501728815TRLO1.1.1

XLON

607

220.200

09:38:16

00501729648TRLO1.1.1

XLON

620

220.400

09:45:10

00501732100TRLO1.1.1

XLON

753

220.800

09:55:03

00501736187TRLO1.1.1

XLON

34

220.600

10:00:45

00501737744TRLO1.1.1

XLON

274

220.600

10:00:45

00501737743TRLO1.1.1

XLON

201

220.600

10:00:45

00501737745TRLO1.1.1

XLON

25

221.000

11:56:00

00501749723TRLO1.1.1

XLON

39

221.000

11:56:37

00501749771TRLO1.1.1

XLON

605

221.000

11:56:37

00501749772TRLO1.1.1

XLON

609

221.000

11:56:37

00501749773TRLO1.1.1

XLON

650

221.000

11:56:37

00501749774TRLO1.1.1

XLON

530

221.000

11:56:37

00501749777TRLO1.1.1

XLON

566

221.000

11:56:37

00501749776TRLO1.1.1

XLON

620

221.000

11:56:37

00501749775TRLO1.1.1

XLON

530

221.000

11:56:37

00501749781TRLO1.1.1

XLON

588

221.000

11:56:37

00501749778TRLO1.1.1

XLON

644

221.000

11:56:37

00501749779TRLO1.1.1

XLON

1,128

221.000

11:56:37

00501749780TRLO1.1.1

XLON

631

221.000

11:56:37

00501749782TRLO1.1.1

XLON

752

221.000

11:56:37

00501749783TRLO1.1.1

XLON

761

221.000

11:56:37

00501749785TRLO1.1.1

XLON

798

221.000

11:56:37

00501749784TRLO1.1.1

XLON

523

221.000

11:56:37

00501749786TRLO1.1.1

XLON

637

221.000

11:58:43

00501749966TRLO1.1.1

XLON

719

221.000

12:00:52

00501750271TRLO1.1.1

XLON

1,076

220.800

12:12:07

00501751518TRLO1.1.1

XLON

746

220.800

12:12:07

00501751519TRLO1.1.1

XLON

891

220.400

12:16:18

00501752007TRLO1.1.1

XLON

727

220.600

12:18:30

00501752166TRLO1.1.1

XLON

961

220.600

12:25:33

00501752895TRLO1.1.1

XLON

732

220.400

12:35:22

00501753901TRLO1.1.1

XLON

585

220.200

12:44:51

00501754697TRLO1.1.1

XLON

703

220.400

12:59:41

00501756226TRLO1.1.1

XLON

586

220.400

13:02:46

00501756602TRLO1.1.1

XLON

 

This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Enquiries:

Pets at Home Group plc                                                +44 (0) 161 486 6688

LEI: 213800CGJ77NY5H4K844

Lesley Lazenby, Company Secretary

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