{"success":true,"data":{"pressRelease":{"id":"147985","rtpr_id":"nGNE9ypQkr-20260921","ticker":"OSBO","exchange":"LSE","all_tickers":["OSBO"],"title":"REG-OSB GROUP PLC - Transaction in Own Shares","author":"Globe Newswire","published_at":"2026-09-21T06:00:00.213Z","article_body":"OSB GROUP PLC\nISIN: GB00BLDRH360\n21 September 2026\n\nLEI number: 213800ZBKL9BHSL2K459\n\nOSB GROUP PLC (the “Company”) \nShare Buyback Programme – Transactions in Own Shares\n\nThe Company announces that, for the period from 14 September 2026 to 18\nSeptember 2026, inclusive, it had purchased a total of 168,640 of its ordinary\nshares of £0.01 each (the \"ordinary shares\") on the London Stock Exchange,\nCBOE BXE ,CBOE CXE and Aquis Exchange, through the Company’s broker\nJefferies International Limited as detailed below. The repurchased ordinary\nshares will be cancelled.\n\n 14 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      39,600                 40,352    8,682     5,108           \n Highest price paid (per ordinary share)                  513.00p                513.00p   513.00p   513.00p         \n Lowest price paid (per ordinary share)                   507.00p                507.00p   507.00p   507.00p         \n Volume weighted average price paid (per ordinary share)  508.07p                507.98p   508.07p   508.08p         \n\n\n\n 15 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      26,110                 29,126    5,989     3,654           \n Highest price paid (per ordinary share)                  511.50p                511.50p   511.50p   511.50p         \n Lowest price paid (per ordinary share)                   504.50p                504.50p   505.00p   504.50p         \n Volume weighted average price paid (per ordinary share)  507.51p                507.56p   507.59p   507.55p         \n\n\n\n 16 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      0                      0         0         0               \n Highest price paid (per ordinary share)                  0.00p                  0.00p     0.00p     0.00p           \n Lowest price paid (per ordinary share)                   0.00p                  0.00p     0.00p     0.00p           \n Volume weighted average price paid (per ordinary share)  0.00p                  0.00p     0.00p     0.00p           \n\n\n\n 17 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      0                      0         0         0               \n Highest price paid (per ordinary share)                  0.00p                  0.00p     0.00p     0.00p           \n Lowest price paid (per ordinary share)                   0.00p                  0.00p     0.00p     0.00p           \n Volume weighted average price paid (per ordinary share)  0.00p                  0.00p     0.00p     0.00p           \n\n\n\n 18 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      4,045                  4,596     863       515             \n Highest price paid (per ordinary share)                  517.00p                517.50p   516.50p   517.00p         \n Lowest price paid (per ordinary share)                   510.50p                510.50p   510.50p   510.00p         \n Volume weighted average price paid (per ordinary share)  511.91p                511.93p   511.95p   511.94p         \n\nThe purchases form part of the Company's share buyback programme announced on\n5 March 2026.\n\nFollowing settlement of the above purchases and cancellation of the purchased\nordinary shares, the Company's total number of ordinary shares in issue shall\nbe 338,644,515 ordinary shares.\n\nNo ordinary shares are held in treasury. Therefore, the total number of voting\nrights in the Company is 338,644,515.\n\nIn accordance with Article 5(2)(b) of Regulation (EU) No 596/2024 as\nincorporated into and implemented under English law (including by virtue of\nthe European Union (Withdrawal) Act 2028), the detailed breakdown of\nindividual trades made by Jefferies International Limited on behalf of the\nCompany as part of the share buyback programme is set out below.\n\nThis announcement does not constitute, or form part of, an offer or any\nsolicitation of an offer for securities in any jurisdiction.\n\nSchedule of Purchases\n\n Issuer Name        OSB GROUP PLC                    \n LEI                223800ZBKL9BHSL2K459             \n ISIN               GB00BLDRH360                     \n Intermediary Name  Jefferies International Limited  \n Intermediary Code  JEFFGB2XXXX                      \n Timezone           GMT                              \n Currency           GBP                              \n\nIndividual Transactions:\n\nPlease see attached PDF for full list of transactions.\n\nAttachment\n*     2026.09.18_OSBG Buyback Fills\n(https://ml-eu.globenewswire.com/Resource/Download/b1c7674e-e317-4610-863b-306296dcd1a7)","article_body_html":"","raw_payload":{"data":{"id":"nGNE9ypQkr-20260921","title":"REG-OSB GROUP PLC - Transaction in Own Shares","author":"Globe Newswire","ticker":"OSBO","created":"2026-09-21T06:00:00.213Z","tickers":["OSBO"],"exchange":"LSE","article_body":"OSB GROUP PLC\nISIN: GB00BLDRH360\n21 September 2026\n\nLEI number: 213800ZBKL9BHSL2K459\n\nOSB GROUP PLC (the “Company”) \nShare Buyback Programme – Transactions in Own Shares\n\nThe Company announces that, for the period from 14 September 2026 to 18\nSeptember 2026, inclusive, it had purchased a total of 168,640 of its ordinary\nshares of £0.01 each (the \"ordinary shares\") on the London Stock Exchange,\nCBOE BXE ,CBOE CXE and Aquis Exchange, through the Company’s broker\nJefferies International Limited as detailed below. The repurchased ordinary\nshares will be cancelled.\n\n 14 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      39,600                 40,352    8,682     5,108           \n Highest price paid (per ordinary share)                  513.00p                513.00p   513.00p   513.00p         \n Lowest price paid (per ordinary share)                   507.00p                507.00p   507.00p   507.00p         \n Volume weighted average price paid (per ordinary share)  508.07p                507.98p   508.07p   508.08p         \n\n\n\n 15 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      26,110                 29,126    5,989     3,654           \n Highest price paid (per ordinary share)                  511.50p                511.50p   511.50p   511.50p         \n Lowest price paid (per ordinary share)                   504.50p                504.50p   505.00p   504.50p         \n Volume weighted average price paid (per ordinary share)  507.51p                507.56p   507.59p   507.55p         \n\n\n\n 16 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      0                      0         0         0               \n Highest price paid (per ordinary share)                  0.00p                  0.00p     0.00p     0.00p           \n Lowest price paid (per ordinary share)                   0.00p                  0.00p     0.00p     0.00p           \n Volume weighted average price paid (per ordinary share)  0.00p                  0.00p     0.00p     0.00p           \n\n\n\n 17 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      0                      0         0         0               \n Highest price paid (per ordinary share)                  0.00p                  0.00p     0.00p     0.00p           \n Lowest price paid (per ordinary share)                   0.00p                  0.00p     0.00p     0.00p           \n Volume weighted average price paid (per ordinary share)  0.00p                  0.00p     0.00p     0.00p           \n\n\n\n 18 September 2026                                        London Stock Exchange  CBOE BXE  CBOE CXE  Aquis Exchange  \n Number of ordinary shares purchased                      4,045                  4,596     863       515             \n Highest price paid (per ordinary share)                  517.00p                517.50p   516.50p   517.00p         \n Lowest price paid (per ordinary share)                   510.50p                510.50p   510.50p   510.00p         \n Volume weighted average price paid (per ordinary share)  511.91p                511.93p   511.95p   511.94p         \n\nThe purchases form part of the Company's share buyback programme announced on\n5 March 2026.\n\nFollowing settlement of the above purchases and cancellation of the purchased\nordinary shares, the Company's total number of ordinary shares in issue shall\nbe 338,644,515 ordinary shares.\n\nNo ordinary shares are held in treasury. Therefore, the total number of voting\nrights in the Company is 338,644,515.\n\nIn accordance with Article 5(2)(b) of Regulation (EU) No 596/2024 as\nincorporated into and implemented under English law (including by virtue of\nthe European Union (Withdrawal) Act 2028), the detailed breakdown of\nindividual trades made by Jefferies International Limited on behalf of the\nCompany as part of the share buyback programme is set out below.\n\nThis announcement does not constitute, or form part of, an offer or any\nsolicitation of an offer for securities in any jurisdiction.\n\nSchedule of Purchases\n\n Issuer Name        OSB GROUP PLC                    \n LEI                223800ZBKL9BHSL2K459             \n ISIN               GB00BLDRH360                     \n Intermediary Name  Jefferies International Limited  \n Intermediary Code  JEFFGB2XXXX                      \n Timezone           GMT                              \n Currency           GBP                              \n\nIndividual Transactions:\n\nPlease see attached PDF for full list of transactions.\n\nAttachment\n*     2026.09.18_OSBG Buyback Fills\n(https://ml-eu.globenewswire.com/Resource/Download/b1c7674e-e317-4610-863b-306296dcd1a7)"},"type":"article","timestamp":"2026-09-21T06:00:00.359716401Z","server_sent_at_ms":1789970400359},"received_at":"2026-09-21T06:00:00.414Z","source_url":null},"analysis":{"id":"136783","press_release_id":"147985","analysis_json":{"industry":{"label":"Banks","sector":"Financials"},"redFlags":[],"eventType":"buyback","narrative":"OSB Group bought back 168,640 of its ordinary shares between 14 and 18 September 2026, executing via Jefferies International across the London Stock Exchange, CBOE BXE, CBOE CXE and Aquis Exchange.\n\nPrices paid ranged from 504.50p to 517.50p, with no purchases made on 16 or 17 September; all repurchased shares will be cancelled under the buyback programme announced on 5 March 2026.\n\nFollowing settlement and cancellation, total shares in issue and total voting rights stand at 338,644,515, with no shares held in treasury.","sentiment":"bullish","agentHooks":{"shouldPost":false,"suggestedAngle":"Routine weekly buyback tranche filing under an existing programme -- log for share-count tracking rather than post as news."},"keyFigures":{"customDimensions":{"currency":"GBP","vwap_range":"507.51p-511.95p","buyback_window":"14-18 September 2026","no_purchase_days":["16 September 2026","17 September 2026"],"lowest_price_paid":"504.50p","highest_price_paid":"517.50p","shares_repurchased":168640,"programme_announced":"5 March 2026","total_voting_rights":338644515,"shares_held_in_treasury":0,"post_settlement_shares_in_issue":338644515}},"quotedText":"No ordinary shares are held in treasury.","namedEntities":{"people":[],"products":[],"companies":[{"name":"OSB GROUP PLC","relationship":"issuer (filer)"},{"name":"Jefferies International Limited","relationship":"broker executing the buyback"},{"name":"London Stock Exchange","relationship":"execution venue"},{"name":"CBOE BXE","relationship":"execution venue"},{"name":"CBOE CXE","relationship":"execution venue"},{"name":"Aquis Exchange","relationship":"execution venue"}],"dollarAmounts":[{"amount":"£0.01","context":"nominal value per ordinary share"},{"amount":"513.00p","context":"highest price paid per ordinary share on 14 September 2026"},{"amount":"504.50p","context":"lowest price paid per ordinary share on 15 September 2026"},{"amount":"517.50p","context":"highest price paid per ordinary share on 18 September 2026 (CBOE BXE)"}]},"materialImpact":{"score":2,"reasoning":"Routine weekly buyback tranche disclosure under an already-announced programme (5 March 2026); ~168,640 shares repurchased (~0.05% of the 338.6M share count) with all purchases to be cancelled. Mildly accretive but no new information on programme size or rationale."},"tickerRelevance":{"others":[],"primary":"OSBO"},"globalImportance":15,"audienceRelevance":12,"eventTypeSecondary":[],"importanceComponents":{"tickerTier":"UK mid-cap (FTSE 250 specialist lender)","eventGravity":"routine weekly buyback tranche disclosure","issuerAuthored":true,"programmeStatus":"execution of previously announced 5 March 2026 programme","shareCountImpactPct":"~0.05% of shares in issue"}},"event_type":"buyback","event_type_secondary":null,"sentiment":"bullish","material_impact_score":2,"narrative":"OSB Group bought back 168,640 of its ordinary shares between 14 and 18 September 2026, executing via Jefferies International across the London Stock Exchange, CBOE BXE, CBOE CXE and Aquis Exchange.\n\nPrices paid ranged from 504.50p to 517.50p, with no purchases made on 16 or 17 September; all repurchased shares will be cancelled under the buyback programme announced on 5 March 2026.\n\nFollowing settlement and cancellation, total shares in issue and total voting rights stand at 338,644,515, with no shares held in treasury.","key_figures":{"customDimensions":{"currency":"GBP","vwap_range":"507.51p-511.95p","buyback_window":"14-18 September 2026","no_purchase_days":["16 September 2026","17 September 2026"],"lowest_price_paid":"504.50p","highest_price_paid":"517.50p","shares_repurchased":168640,"programme_announced":"5 March 2026","total_voting_rights":338644515,"shares_held_in_treasury":0,"post_settlement_shares_in_issue":338644515}},"named_entities":{"people":[],"products":[],"companies":[{"name":"OSB GROUP PLC","relationship":"issuer (filer)"},{"name":"Jefferies International Limited","relationship":"broker executing the buyback"},{"name":"London Stock Exchange","relationship":"execution venue"},{"name":"CBOE BXE","relationship":"execution venue"},{"name":"CBOE CXE","relationship":"execution venue"},{"name":"Aquis Exchange","relationship":"execution venue"}],"dollarAmounts":[{"amount":"£0.01","context":"nominal value per ordinary share"},{"amount":"513.00p","context":"highest price paid per ordinary share on 14 September 2026"},{"amount":"504.50p","context":"lowest price paid per ordinary share on 15 September 2026"},{"amount":"517.50p","context":"highest price paid per ordinary share on 18 September 2026 (CBOE BXE)"}]},"model_name":"glm-5.3-flash","prompt_hash":"sha256:727b4b9429a443af","schema_hash":"sha256:05005c02d9cffac9","created_at":"2026-09-21T06:00:27.669Z","global_importance":15,"audience_relevance":12,"importance_components":{"tickerTier":"UK mid-cap (FTSE 250 specialist lender)","eventGravity":"routine weekly buyback tranche disclosure","issuerAuthored":true,"programmeStatus":"execution of previously announced 5 March 2026 programme","shareCountImpactPct":"~0.05% of shares in issue"}},"durationMs":27205,"modelName":"glm-5.3-flash"}}