Transaction in Own Shares
Shell plc (SHEL) announces share repurchases conducted on December 4, 2024, as part of its buyback programme announced on October 31, 2024. The company purchased 1,218,670 shares on LSEG at prices between £25.2750 and £25.7250, with a volume-weighted average price of £25.5431. Additionally, 819,000 shares were purchased on XAMS at prices between €30.7450 and €31.3100, with a volume-weighted average price of €31.0563.
The buyback program, managed independently by Citigroup Global Markets , will run until January 24, 2025. The purchases are conducted in accordance with UK Listing Rules, EU MAR, UK MAR, and related regulations.
Shell plc (SHEL) annuncia il riacquisto di azioni effettuato il 4 dicembre 2024, nell'ambito del programma di riacquisto annunciato il 31 ottobre 2024. L'azienda ha acquistato 1.218.670 azioni su LSEG a prezzi compresi tra £25,2750 e £25,7250, con un prezzo medio ponderato per volume di £25,5431. Inoltre, 819.000 azioni sono state acquistate su XAMS a prezzi tra €30,7450 e €31,3100, con un prezzo medio ponderato per volume di €31,0563.
Il programma di riacquisto, gestito in modo indipendente da Citigroup Global Markets, continuerà fino al 24 gennaio 2025. Gli acquisti avvengono in conformità con le norme di quotazione del Regno Unito, EU MAR, UK MAR e le normative correlate.
Shell plc (SHEL) anuncia la recompra de acciones realizada el 4 de diciembre de 2024, como parte de su programa de recompra anunciado el 31 de octubre de 2024. La empresa adquirió 1.218.670 acciones en LSEG a precios entre £25,2750 y £25,7250, con un precio promedio ponderado por volumen de £25,5431. Además, se compraron 819.000 acciones en XAMS a precios entre €30,7450 y €31,3100, con un precio promedio ponderado por volumen de €31,0563.
El programa de recompra, gestionado de manera independiente por Citigroup Global Markets, estará en vigor hasta el 24 de enero de 2025. Las compras se realizan de acuerdo con las Normas de Cotización del Reino Unido, EU MAR, UK MAR y regulaciones relacionadas.
Shell plc (SHEL)는 2024년 12월 4일에 실시된 주식 재매입을 발표하며, 이는 2024년 10월 31일에 발표된 자사주 매입 프로그램의 일환입니다. 회사는 1,218,670주를 LSEG에서 £25.2750에서 £25.7250 사이의 가격으로, 거래량 가중 평균 가격 £25.5431로 구매했습니다. 또한, 819,000주가 XAMS에서 €30.7450에서 €31.3100 사이의 가격으로, 거래량 가중 평균 가격 €31.0563로 구매되었습니다.
이 재매입 프로그램은 Citigroup Global Markets에 의해 독립적으로 관리되며, 2025년 1월 24일까지 진행됩니다. 구매는 영국 상장 규정, EU MAR, UK MAR 및 관련 규정을 준수하여 수행됩니다.
Shell plc (SHEL) annonce des rachats d'actions effectués le 4 décembre 2024, dans le cadre de son programme de rachat annoncé le 31 octobre 2024. L'entreprise a acheté 1.218.670 actions sur LSEG à des prix compris entre £25,2750 et £25,7250, avec un prix moyen pondéré par volume de £25,5431. De plus, 819.000 actions ont été achetées sur XAMS à des prix compris entre €30,7450 et €31,3100, avec un prix moyen pondéré par volume de €31,0563.
Le programme de rachat, géré de manière indépendante par Citigroup Global Markets, se poursuivra jusqu'au 24 janvier 2025. Les achats sont effectués conformément aux règles d'admission au Royaume-Uni, à l'EU MAR, au UK MAR et aux réglementations connexes.
Shell plc (SHEL) gibt bekannt, dass am 4. Dezember 2024 Aktienrückkäufe im Rahmen seines am 31. Oktober 2024 angekündigten Rückkaufprogramms durchgeführt wurden. Das Unternehmen hat 1.218.670 Aktien an der LSEG zu Preisen zwischen £25,2750 und £25,7250 gekauft, mit einem volumen-weighted Durchschnittspreis von £25,5431. Zusätzlich wurden 819.000 Aktien an der XAMS zu Preisen zwischen €30,7450 und €31,3100 gekauft, mit einem volumen-weighted Durchschnittspreis von €31,0563.
Das Rückkaufprogramm, das unabhängig von Citigroup Global Markets verwaltet wird, läuft bis zum 24. Januar 2025. Die Käufe erfolgen gemäß den britischen Zulassungsregeln, EU MAR, UK MAR und verwandten Vorschriften.
- Ongoing share buyback program demonstrates strong capital return policy to shareholders
- Significant share repurchase volume indicates robust capital allocation strategy
- None.
Insights
Shell's latest share buyback activity shows significant market engagement with 1,218,670 shares purchased on the London Stock Exchange at prices between
Transaction in Own Shares
04 December, 2024
• • • • • • • • • • • • • • • •
Shell plc (the ‘Company’) announces that on 04 December 2024 it purchased the following number of Shares for cancellation.
Aggregated information on Shares purchased according to trading venue:
Date of purchase | Number of Shares purchased | Highest price paid | Lowest price paid | Volume weighted average price paid per share | Venue | Currency |
04/12/2024 | 1,218,670 | LSE | GBP | |||
04/12/2024 | - | Chi-X (CXE) | GBP | |||
04/12/2024 | - | BATS (BXE) | GBP | |||
04/12/2024 | 819,000 | XAMS | EUR | |||
04/12/2024 | - | CBOE DXE | EUR | |||
04/12/2024 | - | TQEX | EUR |
These share purchases form part of the on- and off-market limbs of the Company's existing share buy-back programme previously announced on 31 October 2024.
In respect of this programme, Citigroup Global Markets Limited will make trading decisions in relation to the securities independently of the Company for a period from 31 October 2024 up to and including 24 January 2025.
The on-market limb will be effected within certain pre-set parameters and in accordance with the Company’s general authority to repurchase shares on-market. The off-market limb will be effected in accordance with the Company’s general authority to repurchase shares off-market pursuant to the off-market buyback contract approved by its shareholders and the pre-set parameters set out therein. The programme will be conducted in accordance with Chapter 9 of the UK Listing Rules and Article 5 of the Market Abuse Regulation 596/2014/EU dealing with buy-back programmes (“EU MAR”) and EU MAR as “onshored” into UK law from the end of the Brexit transition period (at 11:00 pm on 31 December 2020) through the European Union (Withdrawal) Act 2018 (as amended by the European Union (Withdrawal Agreement) Act 2020), and as amended, supplemented, restated, novated, substituted or replaced by the Financial Services Act, 2021 and relevant statutory instruments (including, The Market Abuse (Amendment) (EU Exit) Regulations (SI 2019/310)), from time to time (“UK MAR”) and the Commission Delegated Regulation (EU) 2016/1052 (the “EU MAR Delegated Regulation”) and the EU MAR Delegated Regulation as “onshored” into UK law from the end of the Brexit transition period (at 11:00 pm on 31 December 2020) through the European Union (Withdrawal) Act 2018 (as amended by the European Union (Withdrawal Agreement) Act 2020), and as amended, supplemented, restated, novated, substituted or replaced by the Financial Services Act, 2021 and relevant statutory instruments (including, The Market Abuse (Amendment) (EU Exit) Regulations (SI 2019/310)), from time to time.
In accordance with EU MAR and UK MAR, a breakdown of the individual trades made by Citigroup Global Markets Limited on behalf of the Company as a part of the buy-back programme is detailed below.
Enquiries
Media International: +44 (0) 207 934 5550
Media Americas: +1 832 337 4335
LEI number of Shell plc: 21380068P1DRHMJ8KU70
Classification: Acquisition or disposal of the issuer’s own shares
Attachment
FAQ
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