RBSPF NatWest Group plc
Price Chart
Executive Summary
NatWest Group plc reports weekly share buyback activity, purchasing approximately 3.1 million ordinary shares across London Stock Exchange, CHIX, and BATE venues from June 1-5, 2026, at weighted average prices between 590.32p and 595.84p. Shares will be cancelled, reducing outstanding count to approximately 7.97 billion shares (excluding 181.8 million held in treasury). The buyback is part of the existing program announced on February 16, 2026.
Actionable Insight
Routine weekly buyback disclosure — no new catalyst. The ongoing cancellation of shares provides modest per-share accretion over time but is already priced into the announced programme. Monitor future 6-K filings for pace changes or programme completion. The 20-F annual report filed Feb 2026 provides broader context on financial performance.
Key Facts
- 3,101,162 ordinary shares purchased during week ending June 5, 2026
- Volume-weighted average price per share ranged from 590.32p to 595.84p across venues
- Total shares outstanding post-settlement: 7,970,253,980 (excluding treasury)
- Treasury shares held after settlement: 181,817,840
- Purchases made under existing buyback programme via UBS AG, London Branch
- Company intends to cancel all repurchased shares
Financial Impact
Approximately £18.4 million deployed in share repurchases during the reported week (estimated using daily trade volumes and VWAPs); buyback represents capital return to shareholders
Risk Factors
- Buyback pace could change if regulatory capital requirements tighten
- No new strategic or operational information in this filing
Market Snapshot
Documents Analyzed
This report is based on 4 SEC documents filed with EDGAR.
| Document | Accession Number |
|---|---|
| 6-K Filing (Primary) | 0001654954-26-005720 |
| Document: 0001654954-26-005720-index-headers.html | 0001654954-26-005720 |
| Document: 0001654954-26-005720-index.html | 0001654954-26-005720 |
| Document: 0001654954-26-005720.txt | 0001654954-26-005720 |
Filters
| Type | Now | ||||
|---|---|---|---|---|---|
|
Jun 10, 2026
2d ago
|
6-K
| $7.50 awaiting T+5 | awaiting T+5 | — | $8.24 (+9.87%) |
|
Jun 5, 2026
7d ago
|
6-K
| $7.50 awaiting T+5 | awaiting T+5 | — | $8.24 (+9.87%) |
|
May 29, 2026
14d ago
|
6-K
| $8.11 $8.00 | ▼ −1.36% | ▲ +1.14% | $8.24 (+1.60%) |
|
May 29, 2026
14d ago
|
6-K
| $8.11 $7.98 | ▼ −1.60% | ▼ −1.31% | $8.24 (+1.60%) |
|
May 29, 2026
14d ago
|
6-K
| $8.11 $7.98 | ▼ −1.60% | ▼ −1.31% | $8.24 (+1.60%) |
|
May 22, 2026
21d ago
|
6-K
| $7.92 $8.11 | ▲ +2.40% | ▲ +0.72% | $8.24 (+4.04%) |
|
May 15, 2026
28d ago
|
6-K
| $7.46 $7.92 | ▲ +6.17% | ▲ +5.20% | $8.24 (+10.46%) |
|
May 14, 2026
29d ago
|
6-K
| $7.66 $7.86 | ▲ +2.61% | ▲ +3.33% | $8.24 (+7.57%) |
|
May 13, 2026
4w ago
|
6-K
| $7.63 $7.80 | ▲ +2.23% | ▲ +2.37% | $8.24 (+7.99%) |
|
May 13, 2026
4w ago
|
6-K
| $7.63 $7.56 | ▼ −0.92% | ▲ +0.24% | $8.24 (+7.99%) |
US Market Status
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