Level 2

Transaction in Own Shares

By Sharecast

Date: Tuesday 10 Mar 2026







RNS Number : 9490V
Hill & Smith PLC
10 March 2026
 



 


HILL & SMITH PLC


(the 'Company')


Transaction in own shares


 


The Company announces that on 9 March 2026 it purchased for cancellation a total of 14,000 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:



9 March 2026



Total number of shares purchased:



14,000



Highest price paid per share (pence):



2,195.00



Lowest Price paid per share (pence):



2,165.00



Volume weighted average price paid per share (pence):



2,178.4118



 


Following settlement of the above purchases and subsequent cancellation, the total number of ordinary shares in issue shall be 79,329,589. To date 1,481,212 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



2,178.4118



14,000



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



198



2175.00



 08:11:21



00079571651TRLO0



XLON



269



2175.00



 08:11:21



00079571650TRLO0



XLON



396



2175.00



 08:30:04



00079572713TRLO0



XLON



388



2180.00



 08:42:00



00079573342TRLO0



XLON



456



2175.00



 08:59:06



00079574060TRLO0



XLON



426



2165.00



 09:04:37



00079574304TRLO0



XLON



29



2185.00



 09:23:58



00079575369TRLO0



XLON



94



2185.00



 09:23:58



00079575368TRLO0



XLON



115



2185.00



 09:23:58



00079575370TRLO0



XLON



58



2185.00



 09:24:48



00079575475TRLO0



XLON



115



2185.00



 09:24:48



00079575474TRLO0



XLON



204



2185.00



 09:27:23



00079575586TRLO0



XLON



446



2195.00



 09:40:35



00079576579TRLO0



XLON



39



2190.00



 09:48:32



00079577229TRLO0



XLON



413



2190.00



 09:48:32



00079577228TRLO0



XLON



390



2180.00



 10:14:00



00079578400TRLO0



XLON



437



2175.00



 10:23:44



00079578778TRLO0



XLON



410



2170.00



 10:38:45



00079579437TRLO0



XLON



451



2175.00



 11:45:42



00079582000TRLO0



XLON



448



2175.00



 12:04:02



00079582608TRLO0



XLON



381



2170.00



 12:37:55



00079583278TRLO0



XLON



404



2165.00



 12:44:42



00079583509TRLO0



XLON



380



2175.00



 13:38:33



00079585103TRLO0



XLON



414



2175.00



 13:38:33



00079585104TRLO0



XLON



480



2170.00



 13:51:25



00079585565TRLO0



XLON



400



2170.00



 14:05:54



00079586128TRLO0



XLON



400



2170.00



 14:05:54



00079586127TRLO0



XLON



54



2170.00



 14:05:56



00079586132TRLO0



XLON



80



2170.00



 14:05:56



00079586133TRLO0



XLON



371



2170.00



 14:05:59



00079586143TRLO0



XLON



376



2165.00



 14:26:15



00079587186TRLO0



XLON



424



2180.00



 14:56:19



00079589072TRLO0



XLON



446



2180.00



 14:56:19



00079589073TRLO0



XLON



457



2185.00



 15:00:41



00079589319TRLO0



XLON



458



2185.00



 15:08:21



00079589528TRLO0



XLON



440



2195.00



 15:27:41



00079590400TRLO0



XLON



55



2190.00



 15:32:03



00079590838TRLO0



XLON



325



2190.00



 15:32:03



00079590837TRLO0



XLON



433



2190.00



 15:32:03



00079590836TRLO0



XLON



153



2190.00



 15:32:03



00079590839TRLO0



XLON



157



2190.00



 15:32:03



00079590840TRLO0



XLON



434



2185.00



 15:33:03



00079590873TRLO0



XLON



100



2180.00



 15:45:25



00079591503TRLO0



XLON



322



2180.00



 15:45:25



00079591502TRLO0



XLON



120



2180.00



 15:48:03



00079591643TRLO0



XLON



154



2180.00



 15:51:15



00079591756TRLO0



XLON



Enquiries:


Karen Atterbury


Group Company Secretary


0121 704 7430






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