Transaction in Own Shares
Shell plc (SHEL) has announced a share buyback transaction conducted on March 21, 2025, as part of its previously announced share repurchase program from January 30, 2025. Natixis will independently manage trading decisions for the program until April 25, 2025.
The buyback includes both on-market and off-market components, operating under pre-set parameters and the company's general authority to repurchase shares. The program complies with UK Listing Rules, EU MAR, UK MAR, and related delegated regulations.
Shell plc (SHEL) ha annunciato una transazione di riacquisto di azioni effettuata il 21 marzo 2025, come parte del suo programma di riacquisto di azioni precedentemente annunciato il 30 gennaio 2025. Natixis gestirà in modo indipendente le decisioni di trading per il programma fino al 25 aprile 2025.
Il riacquisto comprende sia componenti sul mercato che fuori mercato, operando secondo parametri predefiniti e l'autorità generale dell'azienda di riacquistare azioni. Il programma è conforme alle Regole di Quotazione del Regno Unito, al MAR dell'UE, al MAR del Regno Unito e alle relative normative delegate.
Shell plc (SHEL) ha anunciado una transacción de recompra de acciones realizada el 21 de marzo de 2025, como parte de su programa de recompra de acciones previamente anunciado el 30 de enero de 2025. Natixis gestionará de forma independiente las decisiones de negociación para el programa hasta el 25 de abril de 2025.
La recompra incluye componentes tanto en el mercado como fuera de él, operando bajo parámetros preestablecidos y la autoridad general de la empresa para recomprar acciones. El programa cumple con las Reglas de Cotización del Reino Unido, el MAR de la UE, el MAR del Reino Unido y las regulaciones delegadas relacionadas.
Shell plc (SHEL)는 2025년 3월 21일에 실시된 주식 매입 거래를 발표했으며, 이는 2025년 1월 30일에 발표된 주식 재매입 프로그램의 일환입니다. Natixis는 2025년 4월 25일까지 프로그램에 대한 거래 결정을 독립적으로 관리할 것입니다.
매입은 시장 내 및 시장 외 구성 요소를 포함하며, 미리 설정된 매개변수 및 주식을 재매입할 수 있는 회사의 일반 권한에 따라 운영됩니다. 이 프로그램은 영국 상장 규칙, EU MAR, 영국 MAR 및 관련 위임 규정을 준수합니다.
Shell plc (SHEL) a annoncé une opération de rachat d'actions réalisée le 21 mars 2025, dans le cadre de son programme de rachat d'actions précédemment annoncé le 30 janvier 2025. Natixis gérera de manière indépendante les décisions de trading pour le programme jusqu'au 25 avril 2025.
Le rachat comprend à la fois des composants sur le marché et hors marché, fonctionnant selon des paramètres préétablis et l'autorité générale de l'entreprise pour racheter des actions. Le programme est conforme aux règles de cotation du Royaume-Uni, au MAR de l'UE, au MAR du Royaume-Uni et aux réglementations déléguées connexes.
Shell plc (SHEL) hat eine Aktienrückkauftransaktion bekannt gegeben, die am 21. März 2025 durchgeführt wurde, als Teil seines zuvor angekündigten Aktienrückkaufprogramms vom 30. Januar 2025. Natixis wird bis zum 25. April 2025 unabhängig die Handelsentscheidungen für das Programm verwalten.
Der Rückkauf umfasst sowohl Markt- als auch außerbörsliche Komponenten, die unter vorab festgelegten Parametern und der allgemeinen Ermächtigung des Unternehmens zur Rückkauf von Aktien betrieben werden. Das Programm entspricht den UK Listing Rules, der EU MAR, der UK MAR und den entsprechenden delegierten Vorschriften.
- Company executing share buyback program, potentially supporting share price and returning value to shareholders
- None.
Transaction in Own Shares
21 March, 2025
• • • • • • • • • • • • • • • •
Shell plc (the ‘Company’) announces that on 21 March 2025 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 |
21/03/2025 | 750,000 | | | | LSE | GBP |
21/03/2025 | 200,000 | | | | Chi-X (CXE) | GBP |
21/03/2025 | 200,000 | | | | BATS (BXE) | GBP |
21/03/2025 | 550,000 | | | | XAMS | EUR |
21/03/2025 | 200,000 | | | | CBOE DXE | EUR |
21/03/2025 | 50,000 | | | | 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 30 January 2025.
In respect of this programme, Natixis will make trading decisions in relation to the securities independently of the Company for a period from 30 January 2025 up to and including 25 April 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 Natixis 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
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