Transaction in Own Shares

Source: RNS
RNS Number : 5545R
Costain Group PLC
18 July 2025
 

 

Image 

18th July 2025

 

Costain Group PLC

Transaction in own shares

 

 


Costain Group PLC ("Costain", "the Group" or "the Company") announces that, in accordance with the terms of its share buyback programme (the "Buyback Programme") announced on 16th June 2025, it has purchased the following number of its ordinary shares of 1 pence each ("Ordinary Shares") on the London Stock Exchange through Investec.

 

Date of Purchase

17th July 2025

Number of Ordinary Shares purchased

72,540

Weighted average price per day (pence)

153.8626

Highest price per share (pence)

154.80

Lowest price per share (pence)

153.00

 

The purchased Ordinary Shares will be cancelled. The Company does not hold any Ordinary Shares in treasury.

 

Costain has now purchased 2,582,049 Ordinary Shares in aggregate for cancellation under the Buyback Programme.  Following settlement of the above purchases and cancellation of the purchased Ordinary Shares, the Group's total number of Ordinary Shares in issue will be 270,416,426 Ordinary Shares.

 

Details of Trades:

 

 


   Aggregate information

Venue

Volume-weighted average price (p)

Aggregated volume

Lowest price per share (p)

Highest price per share (p)

XLON

        153.8626

           72,540

           153.00

           154.80

 

Individual Transactions

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), the table below contains detailed information of the individual trades made by Investec on behalf of Costain as part of the Buyback Programme.

 

Date and time of each trade

Number of shares purchased

Price (pence per share)

Trading Venue

Transaction Reference Number

17 July 2025 11:05:11

46

                      153.00

XLON

00345021816TRLO1

17 July 2025 11:05:11

509

                      153.00

XLON

00345021817TRLO1

17 July 2025 11:05:11

453

                      153.00

XLON

00345021818TRLO1

17 July 2025 11:05:37

703

                      153.00

XLON

00345021825TRLO1

17 July 2025 12:14:33

98

                      153.20

XLON

00345024452TRLO1

17 July 2025 12:14:33

881

                      153.20

XLON

00345024451TRLO1

17 July 2025 12:14:34

74

                      153.20

XLON

00345024453TRLO1

17 July 2025 12:14:39

88

                      153.20

XLON

00345024456TRLO1

17 July 2025 12:37:42

57

                      153.00

XLON

00345025257TRLO1

17 July 2025 12:37:42

568

                      153.00

XLON

00345025255TRLO1

17 July 2025 12:37:42

625

                      153.00

XLON

00345025256TRLO1

17 July 2025 12:37:42

625

                      153.00

XLON

00345025254TRLO1

17 July 2025 12:37:42

625

                      153.00

XLON

00345025253TRLO1

17 July 2025 12:37:42

116

                      153.20

XLON

00345025259TRLO1

17 July 2025 12:37:42

281

                      153.20

XLON

00345025258TRLO1

17 July 2025 12:37:42

308

                      153.20

XLON

00345025261TRLO1

17 July 2025 12:37:42

630

                      153.20

XLON

00345025260TRLO1

17 July 2025 13:05:24

1,233

                      153.00

XLON

00345025998TRLO1

17 July 2025 13:19:52

1,620

                      153.40

XLON

00345026298TRLO1

17 July 2025 13:19:52

9,174

                      153.40

XLON

00345026297TRLO1

17 July 2025 13:19:54

2,441

                      153.60

XLON

00345026299TRLO1

17 July 2025 13:19:57

57

                      153.80

XLON

00345026301TRLO1

17 July 2025 13:19:57

342

                      153.80

XLON

00345026300TRLO1

17 July 2025 13:20:03

2,400

                      153.60

XLON

00345026305TRLO1

17 July 2025 13:20:07

2,445

                      153.40

XLON

00345026306TRLO1

17 July 2025 13:21:39

1,987

                      154.00

XLON

00345026328TRLO1

17 July 2025 13:23:11

1

                      154.80

XLON

00345026354TRLO1

17 July 2025 13:23:11

1,110

                      154.80

XLON

00345026353TRLO1

17 July 2025 13:23:11

1,912

                      154.60

XLON

00345026355TRLO1

17 July 2025 13:30:02

587

                      154.40

XLON

00345026556TRLO1

17 July 2025 13:30:02

155

                      154.40

XLON

00345026559TRLO1

17 July 2025 13:30:02

874

                      154.40

XLON

00345026557TRLO1

17 July 2025 13:30:02

917

                      154.40

XLON

00345026558TRLO1

17 July 2025 13:31:01

81

                      154.40

XLON

00345026615TRLO1

17 July 2025 13:31:01

1,139

                      154.40

XLON

00345026614TRLO1

17 July 2025 13:40:38

638

                      154.00

XLON

00345026941TRLO1

17 July 2025 13:40:38

1,277

                      154.00

XLON

00345026940TRLO1

17 July 2025 13:40:38

115

                      154.00

XLON

00345026942TRLO1

17 July 2025 13:40:38

564

                      154.40

XLON

00345026943TRLO1

17 July 2025 13:40:40

233

                      154.00

XLON

00345026944TRLO1

17 July 2025 13:56:11

1,194

                      154.00

XLON

00345027603TRLO1

17 July 2025 13:58:57

1,761

                      154.00

XLON

00345027714TRLO1

17 July 2025 13:58:57

646

                      154.00

XLON

00345027715TRLO1

17 July 2025 14:03:47

159

                      153.80

XLON

00345027874TRLO1

17 July 2025 14:03:47

487

                      153.80

XLON

00345027875TRLO1

17 July 2025 14:03:47

602

                      153.80

XLON

00345027876TRLO1

17 July 2025 14:03:47

15,000

                      154.00

XLON

00345027877TRLO1

17 July 2025 14:03:47

171

                      153.60

XLON

00345027878TRLO1

17 July 2025 14:03:53

406

                      154.20

XLON

00345027883TRLO1

17 July 2025 14:25:44

606

                      154.40

XLON

00345028797TRLO1

17 July 2025 14:50:13

82

                      154.60

XLON

00345030664TRLO1

17 July 2025 14:50:13

504

                      154.60

XLON

00345030663TRLO1

17 July 2025 14:50:46

621

                      154.40

XLON

00345030720TRLO1

17 July 2025 14:50:48

584

                      154.20

XLON

00345030730TRLO1

17 July 2025 14:50:49

64

                      154.40

XLON

00345030732TRLO1

17 July 2025 14:50:49

131

                      154.40

XLON

00345030731TRLO1

17 July 2025 14:50:51

269

                      154.20

XLON

00345030733TRLO1

17 July 2025 14:50:51

315

                      154.20

XLON

00345030734TRLO1

17 July 2025 14:50:53

104

                      154.20

XLON

00345030736TRLO1

17 July 2025 14:50:55

1,438

                      154.20

XLON

00345030737TRLO1

17 July 2025 14:50:59

157

                      154.20

XLON

00345030738TRLO1

17 July 2025 14:51:00

235

                      154.20

XLON

00345030739TRLO1

17 July 2025 14:51:04

72

                      154.20

XLON

00345030743TRLO1

17 July 2025 14:51:05

129

                      154.20

XLON

00345030744TRLO1

17 July 2025 14:51:09

81

                      154.20

XLON

00345030746TRLO1

17 July 2025 14:51:12

584

                      154.00

XLON

00345030748TRLO1

17 July 2025 14:51:17

72

                      154.20

XLON

00345030752TRLO1

17 July 2025 14:51:22

85

                      154.20

XLON

00345030753TRLO1

17 July 2025 14:55:11

383

                      154.60

XLON

00345031027TRLO1

17 July 2025 15:01:03

383

                      154.40

XLON

00345031370TRLO1

17 July 2025 15:01:03

842

                      154.40

XLON

00345031371TRLO1

17 July 2025 15:44:31

596

                      154.20

XLON

00345033751TRLO1

17 July 2025 15:53:19

616

                      154.00

XLON

00345034037TRLO1

17 July 2025 15:53:19

616

                      154.00

XLON

00345034036TRLO1

17 July 2025 15:53:20

683

                      153.80

XLON

00345034038TRLO1

17 July 2025 16:01:44

585

                      154.20

XLON

00345034894TRLO1

17 July 2025 16:01:44

1

                      154.40

XLON

00345034895TRLO1

17 July 2025 16:01:44

2

                      154.40

XLON

00345034896TRLO1

17 July 2025 16:01:44

65

                      154.40

XLON

00345034897TRLO1

17 July 2025 16:06:34

585

                      154.20

XLON

00345035216TRLO1

17 July 2025 16:06:34

585

                      154.20

XLON

00345035215TRLO1

17 July 2025 16:06:34

131

                      154.40

XLON

00345035217TRLO1

17 July 2025 16:06:34

262

                      154.40

XLON

00345035218TRLO1

17 July 2025 16:06:36

392

                      154.60

XLON

00345035219TRLO1

17 July 2025 16:06:36

550

                      154.60

XLON

00345035220TRLO1

17 July 2025 16:06:36

578

                      154.60

XLON

00345035221TRLO1

17 July 2025 16:10:04

62

                      154.80

XLON

00345035428TRLO1

17 July 2025 16:10:04

75

                      154.80

XLON

00345035429TRLO1

 

 

 

Enquiries:

 


Investors and analysts

Matt Jones, Costain

 

Matt.Jones@costain.com

+44 (0) 7860 922 341

Financial media - Headland

Andy Rivett-Carnac

Charlie Twigg

costain@headlandconsultancy.com

+44 (0) 7968 997365

+44 (0) 7946 494568

 

Issuer name: Costain Group PLC

LEI: 213800PKIJBZ2EDTKC88

ISIN: GB00B64NSP76

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

Intermediary name: Investec

Intermediary Code: MIDLGB22XXX

Timezone: BST

Currency: GBp

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