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Dealing In Securities By Employee Benefit Trusts

By Sharecast

Date: Tuesday 30 Dec 2025







RNS Number : 1601N
Ninety One PLC
30 December 2025
 











Ninety One Limited
Incorporated in the Republic of South Africa


Registration number 2019/526481/06


Date of registration: 18 October 2019


JSE share code: NY1


ISIN: ZAE000282356



Ninety One plc
Incorporated in England and Wales


Registration number 12245293


Date of registration: 4 October 2019


LSE share code: N91


JSE share code: N91


ISIN: GB00BJHPLV88


LEI: 549300G0TJCT3K15ZG14



 


 


DEALING IN SECURITIES BY EMPLOYEE BENEFIT TRUSTS


 


As part of the dual listed company structure Ninety One plc and Ninety One Limited notify both the London and Johannesburg Stock Exchanges of the following, in compliance with the Listings Requirements of the JSE Limited:


 









































































1



Details of Employee Benefit Trust



a)



Trust Name



Ninety One Guernsey Employee Benefit Trust



2



Details of the Issuer



a)



Name



Ninety One plc



b)



LEI



549300G0TJCT3K15ZG14



3



Details of the Transaction



a)



Description of the financial instrument, type of instrument


Identification code



Ordinary shares of £0.0001 each



GB00BJHPLV88



b)



Nature of the transaction



On-market acquisition of 77,536 ordinary shares for an aggregate purchase consideration of £165,960



c)



Number of Securities



77,536



d)


 



Volume weighted average price:


Highest traded price:


Lowest traded price:



£2.140427


£2.16


£2.1215



e)



Total value of transaction



£165,960



f)



Date of the transaction  



24 December 2025



g)



Place of the transaction



London



h)



Clearance obtained



Yes



 


 


 









































































1



Details of Employee Benefit Trust



a)



Trust Name



Ninety One Guernsey Employee Benefit Trust



2



Details of the Issuer



a)



Name



Ninety One plc



b)



LEI



549300G0TJCT3K15ZG14



3



Details of the Transaction



a)



Description of the financial instrument, type of instrument


Identification code



Ordinary shares of £0.0001 each



GB00BJHPLV88



b)



Nature of the transaction



On-market acquisition of 10,480 ordinary shares for an aggregate purchase consideration of £22,619



c)



Number of Securities



10,480



d)


 



Volume weighted average price:


Highest traded price:


Lowest traded price:



£2.158315


£2.248


£2.15



e)



Total value of transaction



£22,619



f)



Date of the transaction  



29 December 2025



g)



Place of the transaction



London



h)



Clearance obtained



Yes



 


 Date of release: 30 December 2025


JSE Sponsor: J.P. Morgan Equities South Africa (Pty) Ltd






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