10/12/2025 18:29
POS-Transaction in Own Shares
INFORMATION REGLEMENTEE

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

10-Dec-2025 / 17:29 GMT/BST



LEI: 2138003EK6UAINBBUS19


 


10 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:


10 December 2025


Number of ordinary shares purchased:


29,836


Highest price paid per share:


122.60p


Lowest price paid per share:


119.00p


Volume weighted average price paid per share:


120.3009p


 


 


The Company intends to hold the purchased Ordinary Shares in treasury. Following the purchase of these shares, the Company holds 1,815,849 of its Ordinary Shares in treasury and has 302,925,727 Ordinary Shares in issue (excluding treasury shares), the total issued share capital is 304,741,576 (including treasury shares).


The figure of 302,925,727 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


120.3009p


 29,836


 


Individual information:


 


Number of ordinary shares purchased


Transaction price (GBp share)


Time of transaction (UK Time)


Transaction reference number


Trading venue


650


121.00


08:15:22


00365229307TRLO1


XLON


165


121.60


08:19:03


00365232259TRLO1


XLON


73


122.60


08:39:14


00365255263TRLO1


XLON


615


121.40


08:39:14


00365255265TRLO1


XLON


3


121.20


08:44:28


00365265662TRLO1


XLON


123


122.00


09:13:29


00365300910TRLO1


XLON


222


122.00


09:13:29


00365300911TRLO1


XLON


648


121.80


09:13:30


00365300919TRLO1


XLON


659


121.60


09:13:31


00365300943TRLO1


XLON


628


121.40


09:15:13


00365302553TRLO1


XLON


343


121.60


09:15:13


00365302557TRLO1


XLON


646


121.40


09:18:15


00365305481TRLO1


XLON


186


121.20


09:28:27


00365314667TRLO1


XLON


125


121.00


09:30:55


00365317175TRLO1


XLON


497


121.00


09:30:55


00365317176TRLO1


XLON


44


121.00


09:46:37


00365338006TRLO1


XLON


614


120.60


09:46:43


00365338082TRLO1


XLON


376


120.80


09:51:12


00365343065TRLO1


XLON


215


121.00


10:05:31


00365351527TRLO1


XLON


30


121.00


10:05:31


00365351528TRLO1


XLON


682


121.00


10:05:31


00365351529TRLO1


XLON


626


120.80


10:05:32


00365351530TRLO1


XLON


609


120.80


10:15:10


00365351836TRLO1


XLON


271


121.20


10:39:17


00365352789TRLO1


XLON


157


121.20


11:01:58


00365353404TRLO1


XLON


612


121.00


12:05:45


00365355779TRLO1


XLON


632


120.60


12:05:45


00365355780TRLO1


XLON


85


120.60


12:06:04


00365355789TRLO1


XLON


284


120.00


12:07:09


00365355841TRLO1


XLON


40


120.60


12:25:32


00365356612TRLO1


XLON


624


120.60


12:32:50


00365356872TRLO1


XLON


164


120.60


12:32:50


00365356873TRLO1


XLON


1284


120.60


12:32:55


00365356877TRLO1


XLON


624


120.60


12:32:55


00365356878TRLO1


XLON


662


120.20


12:32:55


00365356879TRLO1


XLON


368


120.20


13:27:15


00365358415TRLO1


XLON


468


120.20


13:33:06


00365358588TRLO1


XLON


649


119.60


13:56:10


00365359286TRLO1


XLON


61


119.80


13:56:10


00365359287TRLO1


XLON


503


119.80


13:56:10


00365359288TRLO1


XLON


627


119.80


13:56:10


00365359289TRLO1


XLON


191


120.20


14:49:12


00365361701TRLO1


XLON


614


120.00


14:55:12


00365362137TRLO1


XLON


659


119.60


15:00:59


00365363050TRLO1


XLON


647


119.40


15:36:32


00365365105TRLO1


XLON


628


119.40


15:36:32


00365365106TRLO1


XLON


625


119.00


15:36:32


00365365107TRLO1


XLON


631


120.20


15:57:36


00365366160TRLO1


XLON


1325


119.80


15:57:36


00365366161TRLO1


XLON


227


119.60


16:02:34


00365366533TRLO1


XLON


384


119.60


16:05:18


00365366677TRLO1


XLON


227


119.60


16:05:18


00365366678TRLO1


XLON


627


119.60


16:05:18


00365366679TRLO1


XLON


704


119.60


16:05:18


00365366680TRLO1


XLON


3165


119.80


16:11:11


00365367303TRLO1


XLON


631


119.60


16:11:11


00365367304TRLO1


XLON


631


119.40


16:11:12


00365367305TRLO1


XLON


397


119.20


16:17:52


00365368020TRLO1


XLON


259


119.20


16:17:52


00365368021TRLO1


XLON


370


119.20


16:17:52


00365368022TRLO1


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.: 410990
EQS News ID: 2243578

 
End of Announcement EQS News Service



















Funding Circle Holdings plc (FCH)







POS-Transaction in Own Shares

10-Dec-2025 / 17:29 GMT/BST





LEI: 2138003EK6UAINBBUS19



 



10 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:



10 December 2025



Number of ordinary shares purchased:



29,836



Highest price paid per share:



122.60p



Lowest price paid per share:



119.00p



Volume weighted average price paid per share:



120.3009p



 


 



The Company intends to hold the purchased Ordinary Shares in treasury. Following the purchase of these shares, the Company holds 1,815,849 of its Ordinary Shares in treasury and has 302,925,727 Ordinary Shares in issue (excluding treasury shares), the total issued share capital is 304,741,576 (including treasury shares).



The figure of 302,925,727 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



120.3009p



 29,836


 



Individual information:



 





















































































































































































































































































































Number of ordinary shares purchased



Transaction price (GBp share)



Time of transaction (UK Time)



Transaction reference number



Trading venue



650



121.00



08:15:22



00365229307TRLO1



XLON



165



121.60



08:19:03



00365232259TRLO1



XLON



73



122.60



08:39:14



00365255263TRLO1



XLON



615



121.40



08:39:14



00365255265TRLO1



XLON



3



121.20



08:44:28



00365265662TRLO1



XLON



123



122.00



09:13:29



00365300910TRLO1



XLON



222



122.00



09:13:29



00365300911TRLO1



XLON



648



121.80



09:13:30



00365300919TRLO1



XLON



659



121.60



09:13:31



00365300943TRLO1



XLON



628



121.40



09:15:13



00365302553TRLO1



XLON



343



121.60



09:15:13



00365302557TRLO1



XLON



646



121.40



09:18:15



00365305481TRLO1



XLON



186



121.20



09:28:27



00365314667TRLO1



XLON



125



121.00



09:30:55



00365317175TRLO1



XLON



497



121.00



09:30:55



00365317176TRLO1



XLON



44



121.00



09:46:37



00365338006TRLO1



XLON



614



120.60



09:46:43



00365338082TRLO1



XLON



376



120.80



09:51:12



00365343065TRLO1



XLON



215



121.00



10:05:31



00365351527TRLO1



XLON



30



121.00



10:05:31



00365351528TRLO1



XLON



682



121.00



10:05:31



00365351529TRLO1



XLON



626



120.80



10:05:32



00365351530TRLO1



XLON



609



120.80



10:15:10



00365351836TRLO1



XLON



271



121.20



10:39:17



00365352789TRLO1



XLON



157



121.20



11:01:58



00365353404TRLO1



XLON



612



121.00



12:05:45



00365355779TRLO1



XLON



632



120.60



12:05:45



00365355780TRLO1



XLON



85



120.60



12:06:04



00365355789TRLO1



XLON



284



120.00



12:07:09



00365355841TRLO1



XLON



40



120.60



12:25:32



00365356612TRLO1



XLON



624



120.60



12:32:50



00365356872TRLO1



XLON



164



120.60



12:32:50



00365356873TRLO1



XLON



1284



120.60



12:32:55



00365356877TRLO1



XLON



624



120.60



12:32:55



00365356878TRLO1



XLON



662



120.20



12:32:55



00365356879TRLO1



XLON



368



120.20



13:27:15



00365358415TRLO1



XLON



468



120.20



13:33:06



00365358588TRLO1



XLON



649



119.60



13:56:10



00365359286TRLO1



XLON



61



119.80



13:56:10



00365359287TRLO1



XLON



503



119.80



13:56:10



00365359288TRLO1



XLON



627



119.80



13:56:10



00365359289TRLO1



XLON



191



120.20



14:49:12



00365361701TRLO1



XLON



614



120.00



14:55:12



00365362137TRLO1



XLON



659



119.60



15:00:59



00365363050TRLO1



XLON



647



119.40



15:36:32



00365365105TRLO1



XLON



628



119.40



15:36:32



00365365106TRLO1



XLON



625



119.00



15:36:32



00365365107TRLO1



XLON



631



120.20



15:57:36



00365366160TRLO1



XLON



1325



119.80



15:57:36



00365366161TRLO1



XLON



227



119.60



16:02:34



00365366533TRLO1



XLON



384



119.60



16:05:18



00365366677TRLO1



XLON



227



119.60



16:05:18



00365366678TRLO1



XLON



627



119.60



16:05:18



00365366679TRLO1



XLON



704



119.60



16:05:18



00365366680TRLO1



XLON



3165



119.80



16:11:11



00365367303TRLO1



XLON



631



119.60



16:11:11



00365367304TRLO1



XLON



631



119.40



16:11:12



00365367305TRLO1



XLON



397



119.20



16:17:52



00365368020TRLO1



XLON



259



119.20



16:17:52



00365368021TRLO1



XLON



370



119.20



16:17:52



00365368022TRLO1



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.: 410990
EQS News ID: 2243578





 
End of Announcement EQS News Service








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