RNS Number : 9410W
Bytes Technology Group PLC
28 August 2025
 

28 August 2025

 

Bytes Technology Group plc

("BTG", or the "Company")

 

Transaction in Own Shares

 

BTG announces that on 27 August 2025, it purchased the following number of its ordinary shares of £0.01 each (the "Ordinary Shares") on the London Stock Exchange from Numis Securities Limited ("Deutsche Numis"), in accordance with the terms of the Share Buyback Programme announced on 15 August 2025 (the "Buyback Programme").

 

Aggregate number of Ordinary Shares purchased:

100,000

Volume weighted average price paid per share (GBP):

401.1303

Highest price paid per share (GBP):

402.20

Lowest price paid per share (GBP):

398.60


BTG  intends to cancel all of the purchased shares. Following settlement of the above purchases and cancellation of the purchased Ordinary Shares, the Company's total number of Ordinary Shares in issue, and its total voting rights, will be 242,211,605 Ordinary Shares. The Company does not hold any shares in treasury.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018), the schedule below contains detailed information about the purchases made by Deutsche Numis on behalf of the Company as part of the Buyback Programme.

 

Enquiries:

 

Bytes Technology Group plc

James Zaremba, Investor Relations

Tel: +44 (0)1372 418 500

Email: IR@bytesplc.com

 

Sodali & Co
Elly Williamson
Tilly Abraham

Tel: +44 (0)2072 501446
Email: 
btg@info.sodali.com 

 

The Company has a primary listing on the Main Market of the London Stock Exchange and a secondary

listing on the Johannesburg Stock Exchange.

 

Schedule of Purchases - Individual Transactions

 

Number of ordinary shares purchased

Transaction price
(GBp share)

 

 

Time of transaction (UK Time)

Trading venue

799

398.60

 08:22:25

XLON

696

399.40

 08:47:42

XLON

367

398.60

 08:49:38

XLON

699

399.20

 08:51:14

XLON

668

399.80

 08:56:26

XLON

746

400.60

 09:01:03

XLON

700

400.60

 09:01:30

XLON

81

400.60

 09:01:30

XLON

782

400.80

 09:05:06

XLON

3

400.80

 09:05:06

XLON

84

400.60

 09:05:07

XLON

27

400.80

 09:14:41

XLON

697

400.80

 09:15:12

XLON

684

400.80

 09:15:12

XLON

14

400.60

 09:24:25

XLON

921

400.60

 09:24:25

XLON

463

401.00

 09:40:09

XLON

252

401.00

 09:40:09

XLON

206

401.00

 09:48:00

XLON

136

400.80

 09:48:10

XLON

636

400.80

 09:48:10

XLON

85

400.80

 09:52:10

XLON

698

401.00

 09:54:22

XLON

295

401.00

 09:54:22

XLON

732

400.80

 09:58:22

XLON

658

400.60

 09:59:07

XLON

700

400.80

 10:11:30

XLON

39

400.80

 10:11:30

XLON

21

400.80

 10:11:30

XLON

67

401.00

 10:29:25

XLON

55

401.00

 10:29:25

XLON

25

401.00

 10:29:25

XLON

79

401.00

 10:29:25

XLON

144

401.00

 10:29:26

XLON

64

401.00

 10:29:35

XLON

130

401.00

 10:30:05

XLON

6

401.00

 10:30:05

XLON

446

401.00

 10:30:05

XLON

78

401.40

 10:34:46

XLON

153

401.40

 10:34:56

XLON

18

401.40

 10:34:56

XLON

48

401.40

 10:34:56

XLON

48

401.40

 10:34:56

XLON

20

401.40

 10:34:56

XLON

155

401.40

 10:34:59

XLON

93

401.40

 10:34:59

XLON

647

401.20

 10:36:54

XLON

1711

401.40

 10:57:34

XLON

783

401.20

 10:57:35

XLON

512

401.00

 10:58:15

XLON

133

401.00

 10:58:15

XLON

159

401.00

 10:58:15

XLON

736

400.60

 10:58:38

XLON

236

400.20

 10:59:18

XLON

378

400.20

 11:00:19

XLON

178

400.20

 11:00:20

XLON

576

400.20

 11:00:20

XLON

132

400.20

 11:00:20

XLON

703

400.40

 11:32:43

XLON

94

400.40

 11:32:43

XLON

707

400.20

 11:32:44

XLON

706

401.40

 11:35:09

XLON

269

401.40

 11:36:44

XLON

111

401.40

 11:36:46

XLON

288

402.20

 11:43:43

XLON

1159

402.20

 11:43:43

XLON

756

402.20

 11:43:43

XLON

726

402.20

 11:53:51

XLON

19

402.20

 11:53:51

XLON

109

401.80

 12:01:45

XLON

19

401.80

 12:01:45

XLON

896

401.80

 12:01:45

XLON

591

401.80

 12:01:45

XLON

32

401.60

 12:02:01

XLON

939

401.60

 12:02:01

XLON

701

401.40

 12:05:11

XLON

767

401.00

 12:08:50

XLON

931

400.60

 12:20:53

XLON

105

400.80

 12:20:53

XLON

693

400.80

 12:20:53

XLON

647

401.00

 12:25:00

XLON

647

400.60

 12:26:48

XLON

758

400.60

 12:30:36

XLON

21

400.60

 12:39:02

XLON

239

400.60

 12:39:02

XLON

286

400.60

 12:39:02

XLON

757

400.40

 12:39:07

XLON

13

400.40

 12:41:06

XLON

228

400.40

 12:41:46

XLON

525

400.40

 12:41:46

XLON

407

400.40

 12:42:06

XLON

313

400.40

 12:42:06

XLON

403

400.20

 12:51:26

XLON

752

400.20

 12:51:26

XLON

286

400.40

 12:51:26

XLON

170

400.40

 12:51:26

XLON

763

400.20

 12:59:59

XLON

472

400.60

 13:05:06

XLON

80

400.60

 13:05:09

XLON

62

401.20

 13:10:00

XLON

83

401.40

 13:10:00

XLON

47

401.40

 13:10:00

XLON

168

401.40

 13:10:00

XLON

257

401.40

 13:10:00

XLON

1134

401.40

 13:10:00

XLON

766

401.40

 13:11:00

XLON

765

401.40

 13:14:00

XLON

783

401.40

 13:18:09

XLON

131

401.80

 13:27:34

XLON

128

401.80

 13:30:55

XLON

587

401.80

 13:30:55

XLON

121

401.80

 13:30:55

XLON

750

401.80

 13:30:55

XLON

681

401.80

 13:30:55

XLON

559

401.80

 13:30:55

XLON

262

401.80

 13:30:55

XLON

206

401.80

 13:30:55

XLON

807

401.60

 13:32:00

XLON

19

401.60

 13:32:00

XLON

759

401.40

 13:33:25

XLON

577

401.20

 13:33:29

XLON

94

401.20

 13:33:29

XLON

709

401.00

 13:40:13

XLON

22

401.00

 13:42:08

XLON

206

401.20

 13:42:08

XLON

190

401.00

 13:50:07

XLON

206

401.00

 13:50:07

XLON

50

401.00

 13:50:29

XLON

675

401.00

 13:53:26

XLON

660

401.00

 13:56:26

XLON

19

401.00

 13:56:26

XLON

206

401.00

 13:56:26

XLON

477

400.80

 13:57:54

XLON

91

400.80

 13:57:54

XLON

50

401.00

 13:57:54

XLON

411

401.00

 13:57:54

XLON

228

400.80

 13:57:55

XLON

190

400.80

 13:58:56

XLON

586

400.80

 13:58:56

XLON

228

400.80

 13:58:56

XLON

193

400.80

 14:23:56

XLON

3313

400.80

 14:23:58

XLON

458

400.80

 14:23:58

XLON

290

400.80

 14:27:37

XLON

119

400.80

 14:27:37

XLON

2

400.80

 14:27:37

XLON

160

400.80

 14:27:38

XLON

181

400.80

 14:27:38

XLON

1128

400.60

 14:28:14

XLON

736

400.40

 14:31:33

XLON

667

400.40

 14:37:13

XLON

127

400.40

 14:37:13

XLON

803

400.40

 14:37:13

XLON

799

400.40

 14:37:13

XLON

123

400.40

 14:37:13

XLON

3735

401.80

 14:50:07

XLON

1

401.80

 14:50:57

XLON

2

401.80

 14:50:57

XLON

797

401.80

 14:50:57

XLON

672

401.60

 14:51:05

XLON

321

401.60

 14:51:05

XLON

429

401.60

 14:51:05

XLON

677

401.80

 14:56:17

XLON

324

401.80

 14:56:17

XLON

1231

402.20

 14:58:21

XLON

675

402.20

 14:59:21

XLON

615

402.00

 14:59:23

XLON

650

402.00

 14:59:23

XLON

58

402.00

 14:59:23

XLON

855

402.00

 15:03:26

XLON

429

402.20

 15:03:26

XLON

34

402.20

 15:03:26

XLON

115

402.20

 15:03:26

XLON

590

402.00

 15:06:22

XLON

729

402.00

 15:06:22

XLON

57

402.00

 15:06:40

XLON

776

402.00

 15:07:35

XLON

89

402.00

 15:07:35

XLON

752

402.00

 15:13:32

XLON

752

401.80

 15:13:56

XLON

782

401.60

 15:18:02

XLON

764

401.80

 15:18:02

XLON

283

401.80

 15:23:19

XLON

513

401.80

 15:26:19

XLON

151

401.80

 15:26:19

XLON

19

401.80

 15:28:19

XLON

21

401.80

 15:28:19

XLON

66

401.80

 15:28:19

XLON

71

401.80

 15:28:19

XLON

59

401.80

 15:28:19

XLON

71

401.80

 15:29:19

XLON

59

401.80

 15:29:19

XLON

71

401.80

 15:29:19

XLON

59

401.80

 15:29:19

XLON

165

401.80

 15:29:19

XLON

209

401.60

 15:30:19

XLON

664

401.60

 15:31:29

XLON

363

401.60

 15:31:29

XLON

79

401.60

 15:31:29

XLON

345

401.20

 15:32:11

XLON

11

401.20

 15:33:09

XLON

380

401.20

 15:33:09

XLON

704

400.60

 15:35:38

XLON

1

401.20

 15:45:04

XLON

1

401.20

 15:45:09

XLON

794

401.20

 15:45:09

XLON

361

401.00

 15:45:57

XLON

373

401.00

 15:45:57

XLON

721

400.80

 15:46:35

XLON

128

401.00

 15:46:35

XLON

429

401.00

 15:46:35

XLON

753

400.60

 15:52:23

XLON

636

400.80

 15:56:17

XLON

8

400.80

 15:56:17

XLON

11

400.80

 15:56:17

XLON

429

400.60

 15:56:26

XLON

711

400.60

 15:58:28

XLON

665

400.60

 15:59:43

XLON

796

400.40

 15:59:44

XLON

729

400.80

 16:04:04

XLON

385

401.20

 16:06:24

XLON

346

401.20

 16:06:24

XLON

753

401.20

 16:07:49

XLON

727

401.20

 16:09:40

XLON

167

401.60

 16:12:05

XLON

525

401.60

 16:12:05

XLON

115

401.60

 16:12:18

XLON

655

401.60

 16:13:53

XLON

974

401.80

 16:17:12

XLON

100

401.80

 16:18:14

XLON

738

402.00

 16:18:55

XLON

227

401.80

 16:18:57

XLON

716

401.80

 16:20:57

XLON

755

401.60

 16:21:08

XLON

161

401.20

 16:23:00

XLON

 

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
 
 
POSQDLFLEVLXBBL