16:54 Wed 14 May 2025
Transaction in Own Shares
Transaction in Own Shares
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Shell plc (the ‘Company’) announces that on
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 |
694,928 | £25.3150 | £25.0500 | £25.1783 | LSE | GBP | |
142,424 | £25.3150 | £25.0500 | £25.1823 | Chi-X (CXE) | GBP | |
112,648 | £25.2900 | £25.0650 | £25.1981 | BATS (BXE) | GBP | |
629,361 | €30.2750 | €29.9100 | €30.0675 | XAMS | EUR | |
231,499 | €30.2750 | €29.9100 | €30.0685 | CBOE DXE | EUR | |
69,140 | €30.2800 | €29.9350 | €30.1045 | 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
In respect of this programme, BNP PARIBAS SA will make trading decisions in relation to the securities independently of the Company for a period from
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
In accordance with
Enquiries
Media: International +44 (0) 207 934 5550;
LEI number of Shell plc: 21380068P1DRHMJ8KU70
Classification: Acquisition or disposal of the issuer’s own shares
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