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RELX PLC announced that it purchased a total of 4,033,569 of its ordinary shares of 14 51/116 pence each on the London Stock Exchange through J.P. Morgan Securities plc between 20 April 2026 and 24 April 2026. These shares will be held as treasury shares, bringing RELX PLC's total treasury holdings to 46,684,640 ordinary shares, with 1,781,758,114 ordinary shares remaining in issue (excluding treasury shares). Since 2 January 2026, the company has purchased 42,576,768 ordinary shares.
| Date | 27 Apr 2026 |
| Time | 14:23:42 |
| Category | Capital structure |
| ID | 0742C |
27 April 2026
RELX PLC
Transactions in own shares
RELX PLC announces that during the period 20 April 2026 to 24 April 2026 it purchased through J.P. Morgan Securities plc a total of 4,033,569 RELX PLC ordinary shares of 14 51/116 pence each on the London Stock Exchange. The purchased shares will be held as treasury shares.
RELX PLC
Transaction details: RELX PLC ordinary shares of 14 51/116 pence each
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Issuer name: |
RELX PLC |
|
ISIN: |
GB00B2B0DG97 |
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Intermediary name: |
J.P. Morgan Securities plc |
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Intermediary Code: |
JPMSGB2L |
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Time zone: |
UTC |
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Currency: |
GBP
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Aggregated information
|
Date of purchase |
Number of ordinary shares purchased |
Highest price paid (p) |
Lowest price paid (p) |
Volume weighted average price paid per share (p) |
|
20/04/2026 |
1,164,766 |
2721 |
2691 |
2704.2677 |
|
21/04/2026 |
835,000 |
2795 |
2716 |
2762.8846 |
|
22/04/2026 |
792,598 |
2782 |
2716 |
2757.6460 |
|
23/04/2026 |
620,800 |
2709 |
2656 |
2680.8609 |
|
24/04/2026 |
620,405 |
2705 |
2659 |
2681.5644 |
|
|
|
|
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Following the settlement of the above transactions, RELX PLC holds 46,684,640 ordinary shares in treasury, and has 1,781,758,114 ordinary shares in issue (excluding treasury shares). Since 2 January 2026 RELX PLC has purchased 42,576,768 ordinary shares.
Disaggregated information
In accordance with UKLR 9.6.6R and Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), detailed information about the individual purchases is provided on a weekly basis and for the period above is provided here:
http://www.rns-pdf.londonstockexchange.com/rns/0742C_1-2026-4-27.pdf
Legal Entity Identifier: 549300WSX3VBUFFJOO66