09/12/2025 17:54
POS-Transaction in Own Shares
INFORMATION REGLEMENTEE

Funding Circle Holdings plc (FCH)
POS-Transaction in Own Shares

09-Dec-2025 / 16:54 GMT/BST



LEI: 2138003EK6UAINBBUS19


 


9 December 2025


 


Funding Circle Holdings plc
Transaction in own shares


The Company has today purchased the following number of Ordinary Shares on the London Stock Exchange from Investec Bank plc (“Investec”) as part of its buy-back announced on 15 May 2025:


Date of purchase:


9 December 2025


Number of ordinary shares purchased:


25,328


Highest price paid per share:


124.40p


Lowest price paid per share:


122.20p


Volume weighted average price paid per share:


123.5697p


 


 


The Company intends to hold the purchased Ordinary Shares in treasury. Following the purchase of these shares, the Company holds 1,786,013 of its Ordinary Shares in treasury and has 302,955,563 Ordinary Shares in issue (excluding treasury shares), the total issued share capital is 304,741,576 (including treasury shares).


The figure of 302,955,563 Ordinary Shares represents the total voting rights in the Company and may be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or a change to their interest in, the Company under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.


In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by Investec as part of the Share Buyback Programme.


 


Aggregate information:


 


Venue


Volume-weighted average price (pence per share)


Aggregated volume


LSE


123.5697p


25,328


 


Individual information:


 


Number of ordinary shares purchased


Transaction price (GBp share)


Time of transaction (UK Time)


Transaction reference number


Trading venue


52


123.80


12:26:53


00365062539TRLO1


XLON


462


124.40


12:26:53


00365062540TRLO1


XLON


400


124.40


12:26:53


00365062541TRLO1


XLON


588


124.40


12:27:18


00365062555TRLO1


XLON


49


124.20


12:27:18


00365062556TRLO1


XLON


220


124.20


12:27:18


00365062557TRLO1


XLON


275


124.00


12:29:53


00365062643TRLO1


XLON


385


124.00


12:29:53


00365062644TRLO1


XLON


1208


124.00


12:29:53


00365062645TRLO1


XLON


1070


124.20


12:29:53


00365062646TRLO1


XLON


234


124.20


12:30:02


00365062653TRLO1


XLON


161


124.20


12:30:02


00365062654TRLO1


XLON


656


123.80


13:02:00


00365064021TRLO1


XLON


611


123.80


13:33:44


00365064852TRLO1


XLON


629


123.80


13:34:14


00365064868TRLO1


XLON


629


123.80


13:35:06


00365064886TRLO1


XLON


337


124.00


13:49:15


00365065390TRLO1


XLON


400


124.00


13:49:15


00365065391TRLO1


XLON


664


123.80


14:05:30


00365066248TRLO1


XLON


39


123.60


14:05:30


00365066249TRLO1


XLON


598


123.60


14:05:32


00365066252TRLO1


XLON


39


123.60


14:05:32


00365066253TRLO1


XLON


366


123.80


14:05:38


00365066256TRLO1


XLON


606


123.80


14:05:38


00365066257TRLO1


XLON


606


123.80


14:05:38


00365066258TRLO1


XLON


620


123.80


14:05:52


00365066266TRLO1


XLON


126


123.80


14:05:55


00365066267TRLO1


XLON


662


123.60


14:07:52


00365066431TRLO1


XLON


214


123.80


14:44:45


00365068529TRLO1


XLON


123


123.80


14:44:47


00365068530TRLO1


XLON


627


123.60


14:49:39


00365068762TRLO1


XLON


69


123.60


14:50:44


00365068821TRLO1


XLON


657


124.00


14:59:32


00365069329TRLO1


XLON


324


124.00


14:59:35


00365069332TRLO1


XLON


659


123.60


14:59:35


00365069333TRLO1


XLON


1678


123.60


15:01:29


00365069428TRLO1


XLON


732


123.60


15:01:29


00365069429TRLO1


XLON


1


123.60


15:01:45


00365069447TRLO1


XLON


624


123.40


15:07:37


00365069882TRLO1


XLON


147


123.40


15:08:34


00365069909TRLO1


XLON


632


123.20


15:19:43


00365070916TRLO1


XLON


664


123.00


15:42:07


00365072274TRLO1


XLON


4


123.00


15:42:07


00365072275TRLO1


XLON


667


123.00


15:42:07


00365072276TRLO1


XLON


200


123.00


15:42:29


00365072294TRLO1


XLON


509


122.80


15:42:29


00365072295TRLO1


XLON


750


122.80


15:42:38


00365072297TRLO1


XLON


76


122.80


15:42:38


00365072298TRLO1


XLON


421


122.80


15:42:38


00365072299TRLO1


XLON


88


122.80


15:42:38


00365072300TRLO1


XLON


92


122.80


15:42:40


00365072301TRLO1


XLON


523


122.80


15:42:40


00365072302TRLO1


XLON


104


122.80


15:43:21


00365072334TRLO1


XLON


668


122.60


15:48:42


00365072638TRLO1


XLON


665


122.60


15:49:06


00365072687TRLO1


XLON


665


122.40


15:55:28


00365073064TRLO1


XLON


53


122.20


16:00:10


00365073451TRLO1


XLON


 


 


 


- ENDS -


Enquiries:


Funding Circle:


Investor Relations    ir@fundingcircle.com
Tony Nicol


Media Relations     press@fundingcircle.com
 


Headland Consultancy   +44 (0) 20 3805 4822
Stephen Malthouse


 


 




Dissemination of a Regulatory Announcement, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.

View original content: EQS News
ISIN: GB00BG0TPX62
Category Code: POS
TIDM: FCH
LEI Code: 2138003EK6UAINBBUS19
Sequence No.: 410833
EQS News ID: 2242784

 
End of Announcement EQS News Service



















Funding Circle Holdings plc (FCH)







POS-Transaction in Own Shares

09-Dec-2025 / 16:54 GMT/BST





LEI: 2138003EK6UAINBBUS19



 



9 December 2025



 



Funding Circle Holdings plc
Transaction in own shares



The Company has today purchased the following number of Ordinary Shares on the London Stock Exchange from Investec Bank plc (“Investec”) as part of its buy-back announced on 15 May 2025:














Date of purchase:



9 December 2025



Number of ordinary shares purchased:



25,328



Highest price paid per share:



124.40p



Lowest price paid per share:



122.20p



Volume weighted average price paid per share:



123.5697p



 


 



The Company intends to hold the purchased Ordinary Shares in treasury. Following the purchase of these shares, the Company holds 1,786,013 of its Ordinary Shares in treasury and has 302,955,563 Ordinary Shares in issue (excluding treasury shares), the total issued share capital is 304,741,576 (including treasury shares).



The figure of 302,955,563 Ordinary Shares represents the total voting rights in the Company and may be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or a change to their interest in, the Company under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.



In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by Investec as part of the Share Buyback Programme.



 



Aggregate information:



 










Venue



Volume-weighted average price (pence per share)



Aggregated volume



LSE



123.5697p



25,328


 



Individual information:



 






































































































































































































































































































Number of ordinary shares purchased



Transaction price (GBp share)



Time of transaction (UK Time)



Transaction reference number



Trading venue



52



123.80



12:26:53



00365062539TRLO1



XLON



462



124.40



12:26:53



00365062540TRLO1



XLON



400



124.40



12:26:53



00365062541TRLO1



XLON



588



124.40



12:27:18



00365062555TRLO1



XLON



49



124.20



12:27:18



00365062556TRLO1



XLON



220



124.20



12:27:18



00365062557TRLO1



XLON



275



124.00



12:29:53



00365062643TRLO1



XLON



385



124.00



12:29:53



00365062644TRLO1



XLON



1208



124.00



12:29:53



00365062645TRLO1



XLON



1070



124.20



12:29:53



00365062646TRLO1



XLON



234



124.20



12:30:02



00365062653TRLO1



XLON



161



124.20



12:30:02



00365062654TRLO1



XLON



656



123.80



13:02:00



00365064021TRLO1



XLON



611



123.80



13:33:44



00365064852TRLO1



XLON



629



123.80



13:34:14



00365064868TRLO1



XLON



629



123.80



13:35:06



00365064886TRLO1



XLON



337



124.00



13:49:15



00365065390TRLO1



XLON



400



124.00



13:49:15



00365065391TRLO1



XLON



664



123.80



14:05:30



00365066248TRLO1



XLON



39



123.60



14:05:30



00365066249TRLO1



XLON



598



123.60



14:05:32



00365066252TRLO1



XLON



39



123.60



14:05:32



00365066253TRLO1



XLON



366



123.80



14:05:38



00365066256TRLO1



XLON



606



123.80



14:05:38



00365066257TRLO1



XLON



606



123.80



14:05:38



00365066258TRLO1



XLON



620



123.80



14:05:52



00365066266TRLO1



XLON



126



123.80



14:05:55



00365066267TRLO1



XLON



662



123.60



14:07:52



00365066431TRLO1



XLON



214



123.80



14:44:45



00365068529TRLO1



XLON



123



123.80



14:44:47



00365068530TRLO1



XLON



627



123.60



14:49:39



00365068762TRLO1



XLON



69



123.60



14:50:44



00365068821TRLO1



XLON



657



124.00



14:59:32



00365069329TRLO1



XLON



324



124.00



14:59:35



00365069332TRLO1



XLON



659



123.60



14:59:35



00365069333TRLO1



XLON



1678



123.60



15:01:29



00365069428TRLO1



XLON



732



123.60



15:01:29



00365069429TRLO1



XLON



1



123.60



15:01:45



00365069447TRLO1



XLON



624



123.40



15:07:37



00365069882TRLO1



XLON



147



123.40



15:08:34



00365069909TRLO1



XLON



632



123.20



15:19:43



00365070916TRLO1



XLON



664



123.00



15:42:07



00365072274TRLO1



XLON



4



123.00



15:42:07



00365072275TRLO1



XLON



667



123.00



15:42:07



00365072276TRLO1



XLON



200



123.00



15:42:29



00365072294TRLO1



XLON



509



122.80



15:42:29



00365072295TRLO1



XLON



750



122.80



15:42:38



00365072297TRLO1



XLON



76



122.80



15:42:38



00365072298TRLO1



XLON



421



122.80



15:42:38



00365072299TRLO1



XLON



88



122.80



15:42:38



00365072300TRLO1



XLON



92



122.80



15:42:40



00365072301TRLO1



XLON



523



122.80



15:42:40



00365072302TRLO1



XLON



104



122.80



15:43:21



00365072334TRLO1



XLON



668



122.60



15:48:42



00365072638TRLO1



XLON



665



122.60



15:49:06



00365072687TRLO1



XLON



665



122.40



15:55:28



00365073064TRLO1



XLON



53



122.20



16:00:10



00365073451TRLO1



XLON


 



 



 



- ENDS -



Enquiries:



Funding Circle:



Investor Relations    ir@fundingcircle.com
Tony Nicol



Media Relations     press@fundingcircle.com
 



Headland Consultancy   +44 (0) 20 3805 4822
Stephen Malthouse



 



 














Dissemination of a Regulatory Announcement, transmitted by EQS Group.




The issuer is solely responsible for the content of this announcement.


View original content: EQS News














ISIN: GB00BG0TPX62
Category Code: POS
TIDM: FCH
LEI Code: 2138003EK6UAINBBUS19
Sequence No.: 410833
EQS News ID: 2242784





 
End of Announcement EQS News Service








\"\"