RNS Number : 3832F
Renewables Infrastructure Grp (The)
30 October 2025
 

 

30 October 2025

 

The Renewables Infrastructure Group Limited

 

Transaction in own shares

The Renewables Infrastructure Group Limited ("TRIG") announces that, in accordance with the terms of its share buyback programme (the "Programme") announced on 9 August 2024, it has purchased the following number of its ordinary shares of 0.01 pence each ("Ordinary Shares") through BNP Paribas S.A.

 

Date of Purchase

29 October 2025

Number of ordinary shares purchased

160,000

Weighted average price paid (p)

77.79

Highest price paid (p)

78.00

Lowest price paid (p)

77.60

 

Following the above purchase, TRIG holds 89,972,915 Ordinary Shares in treasury. TRIG initially intends to hold the purchased shares as treasury shares.

The total number of voting rights in TRIG, excluding treasury shares is 2,395,989,971. This figure may be used by shareholders 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, TRIG under the FCA's Disclosure and Transparency Rules.

Enquiries

InfraRed Capital Partners Limited                                 +44 (0) 20 7484 1800

Minesh Shah

Phil George

Mohammed Zaheer

Brunswick                                                                    +44 (0) 20 7404 5959 / TRIG@brunswickgroup.com

Mara James     

Investec Bank Plc                                                         +44 (0) 20 7597 4000

Lucy Lewis                                                       

Tom Skinner

BNP Paribas                                                                 +44 (0) 20 7595 9444

Virginia Khoo

Carwyn Evans

Aztec Financial Services (Guernsey) Limited                +44 (0) 1481 749700

Chris Copperwaite

Laura Dunning  

 

 

Transaction details

Issuer name: The Renewables Infrastructure Group Limited

LEI: 213800NO6Q7Q7HMOMT20

ISIN: GG00BBHX2H91

Classification: 2.4. Acquisition or disposal of the issuer's own shares

Intermediary name: BNP Paribas S.A.

Intermediary Code: BNABFRPPXXX

Timezone: GMT

Currency: GBP

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), a breakdown of the individual trades made by BNP Paribas S.A. on behalf of TRIG as part of the Programme is detailed below:

Aggregate information: 

 

 

Venue

Weighted average price (pence per share)

Aggregated volume

XLON

77.79

154,024

CBOE-CXE

77.80

5,976

 

Individual transactions:

Transaction Date

Transaction Time

Volume

Price (GBP)

Venue

29-Oct-2025

08:21:53

6

77.6

XLON

29-Oct-2025

08:40:54

2,914

78.0

XLON

29-Oct-2025

08:40:54

4,191

78.0

XLON

29-Oct-2025

08:40:54

323

78.0

XLON

29-Oct-2025

09:04:01

6,740

77.9

XLON

29-Oct-2025

09:19:48

7,600

77.8

XLON

29-Oct-2025

10:08:31

2,552

77.8

CBOE-CXE

29-Oct-2025

10:42:46

2,766

77.8

CBOE-CXE

29-Oct-2025

10:42:46

97

77.8

CBOE-CXE

29-Oct-2025

10:42:46

464

77.8

CBOE-CXE

29-Oct-2025

10:42:46

97

77.8

CBOE-CXE

29-Oct-2025

10:43:35

30,000

77.8

XLON

29-Oct-2025

10:43:35

373

77.8

XLON

29-Oct-2025

10:50:41

10,000

77.7

XLON

29-Oct-2025

10:50:41

5,458

77.7

XLON

29-Oct-2025

10:51:08

10,000

77.6

XLON

29-Oct-2025

10:51:08

2,953

77.6

XLON

29-Oct-2025

13:13:33

21

77.8

XLON

29-Oct-2025

13:13:33

9,979

77.8

XLON

29-Oct-2025

13:13:33

2,595

77.8

XLON

29-Oct-2025

13:13:33

746

77.8

XLON

29-Oct-2025

13:15:57

2,045

77.9

XLON

29-Oct-2025

14:02:52

624

77.9

XLON

29-Oct-2025

14:02:52

5,070

77.9

XLON

29-Oct-2025

14:03:22

10,017

77.9

XLON

29-Oct-2025

14:03:22

10,000

77.8

XLON

29-Oct-2025

14:22:02

10,000

77.6

XLON

29-Oct-2025

14:59:02

7,680

77.8

XLON

29-Oct-2025

15:09:03

6,071

77.8

XLON

29-Oct-2025

15:40:54

4,309

78.0

XLON

29-Oct-2025

16:16:50

4,309

77.8

XLON

 

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