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BYTES:  8,600   -20 (-0.23%)  24/10/2025 19:00

BYTES TECHNOLOGY GROUP PLC - TR-1: Standard form for notification of major holdings

Release Date: 24/10/2025 16:00
Code(s): BYI     PDF:  
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TR-1: Standard form for notification of major holdings

Bytes Technology Group plc
(Incorporated in England and Wales)
(Registered number: 12935776)
LEI: 213800LA4DZLFBAC9O33
Share code: BYI
ISIN: GB00BMH18Q19
("BTG" or the "Company")

TR-1: Standard form for notification of major holdings

1.    Issuer Details
      ISIN
      GB00BMH18Q19
      Issuer Name
      BYTES TECHNOLOGY GROUP PLC
      UK or Non-UK Issuer
      UK

2.    Reason for Notification
      An acquisition or disposal of voting rights

3.    Details of person subject to the notification obligation
      Name
      JPMorgan Chase & Co.
      City of registered office (if applicable)

      Country of registered office (if applicable)
      US

4.    Details of the shareholder
      Name                             City of registered office Country of registered office

      J.P. Morgan Securities plc

5.    Date on which the threshold was crossed or reached
      22-Oct-2025

6.    Date on which Issuer notified
      24-Oct-2025

7.    Total positions of person(s) subject to the notification
      obligation

                     % of voting        % of voting
                                                                              Total number of
                     rights attached    rights through     Total of both in   voting rights
                     to shares (total   financial          % (8.A + 8.B)      held in issuer
                      of 8.A)           instruments                                                      
                                        (total of 8.B 1 +                                  
                                        8.B 2)
                                           
  Resulting
  situation on the
  date on which      0.580846           4.489584           5.070430           12166614
  threshold was
  crossed or
  reached

  Position of        Below              Below              Below
  previous           minimum            minimum            minimum
  notification (if   threshold          threshold          threshold
  applicable)

8.    Notified details of the resulting situation on the date on which
      the threshold was crossed or reached
8A.   Voting rights attached to shares
Class/Type of       Number of       Number of indirect            % of direct
                                                                                  % of indirect voting
shares ISIN code(if direct voting   voting rights                 voting rights
                                                                                  rights (DTR5.2.1)
possible)           rights (DTR5.1) (DTR5.2.1)                    (DTR5.1)

GB00BMH18Q19                               1393754                                  0.580846

Sub Total 8.A            1393754                                    0.580846%

8B1.   Financial Instruments according to (DTR5.3.1R.(1) (a))
                                                         Number of voting rights that
                                                                                             % of
Type of financial     Expiration Exercise/conversion     may be acquired if the
                                                                                             voting
instrument            date       period                  instrument is
                                                                                             rights
                                                         exercised/converted
Sub Total 8.B1

8B2.   Financial Instruments with similar economic effect
       according to (DTR5.3.1R.(1) (b))

Type of                                                  Physical or
                                   Exercise/conversion                  Number of          % of voting
financial        Expiration date                         cash
                                   period                               voting rights      rights
instrument                                               settlement

Cash-
settled          10/11/2025        10/11/2025            Cash           127590             0.053173
Equity
Swap

Cash-
settled          28/11/2025        28/11/2025            Cash           12282              0.005119
Equity
Swap

Cash-
settled          17/12/2025        17/12/2025            Cash           9068               0.003779
Equity
Swap

Cash-
settled          05/01/2026        05/01/2026            Cash           5558               0.002316
Equity
Swap

Cash-
settled          08/01/2026        08/01/2026            Cash           521                0.000217
Equity
Swap

Cash-
settled          11/02/2026        11/02/2026            Cash           6541               0.002726
Equity
Swap

Cash-
settled          28/04/2026        28/04/2026            Cash           610005             0.254219
Equity
Swap

Cash-
settled          08/05/2026        08/05/2026            Cash           147744             0.061572
Equity
Swap

Cash-
settled          27/05/2026        27/05/2026            Cash           322213             0.134282
Equity
Swap

Cash-
settled          15/07/2026        15/07/2026            Cash           5319283            2.216809
Equity
Swap

Cash-
settled          04/08/2026        04/08/2026            Cash           232                0.000097
Equity
Swap

Cash-
settled          05/08/2026        05/08/2026            Cash           164000             0.068347
Equity
Swap

Cash-
settled          02/09/2026        02/09/2026            Cash           423106             0.176329
Equity
Swap
Cash-
settled          03/09/2026        03/09/2026            Cash           83560              0.034824
Equity
Swap

Cash-
settled          08/09/2026        08/09/2026            Cash           46252              0.019275
Equity
Swap

Cash-
settled          29/09/2026        29/09/2026            Cash           2925               0.001219
Equity
Swap

Cash-
settled          02/10/2026        02/10/2026            Cash           28348              0.011814
Equity
Swap

Cash-
settled          05/10/2026        05/10/2026            Cash           22589              0.009414
Equity
Swap

Cash-
settled          07/10/2026        07/10/2026            Cash           8883               0.003702
Equity
Swap

Cash-
settled          15/10/2026        15/10/2026            Cash           77730              0.032394
Equity
Swap

Cash-
settled          16/10/2026        16/10/2026            Cash           166871             0.069543
Equity
Swap

Cash-
settled          21/10/2026        21/10/2026            Cash           13138              0.005475
Equity
Swap

Cash-
settled          23/10/2026        23/10/2026            Cash           115591             0.048172
Equity
Swap
Cash-
settled          03/11/2026        03/11/2026            Cash           43093              0.017959
Equity
Swap

Cash-
settled          17/11/2026        17/11/2026            Cash           13086              0.005454
Equity
Swap

Cash-
settled          18/11/2026        18/11/2026            Cash           72817              0.030346
Equity
Swap

Cash-
settled          25/11/2026        25/11/2026            Cash           385                0.000160
Equity
Swap

Cash-
settled          02/12/2026        02/12/2026            Cash           239655             0.099876
Equity
Swap

Cash-
settled          17/12/2026        17/12/2026            Cash           4028               0.001679
Equity
Swap

Cash-
settled          23/03/2027        23/03/2027            Cash           16501              0.006877
Equity 
Swap

Cash-
settled          07/04/2027        07/04/2027            Cash           362286             0.150983
Equity
Swap

Cash-
settled          04/05/2027        04/05/2027            Cash           276701             0.115315
Equity
Swap

Cash-
settled          08/05/2027        08/05/2027            Cash           2753               0.001147
Equity
Swap

Cash-
settled          03/08/2027        03/08/2027            Cash           9455               0.003940
Equity
Swap

Cash-
settled          30/05/2028        30/05/2028            Cash           49460              0.020612
Equity
Swap

Cash-
settled          02/07/2030        02/07/2030            Cash           342640             0.142795
Equity
Swap

Cash-
settled          10/07/2030        10/07/2030            Cash           617010             0.257139
Equity
Swap

Cash-
settled          02/08/2030        02/08/2030            Cash           589973             0.245871
Equity
Swap

Cash-
settled          04/10/2032        04/10/2032            Cash           18515              0.007716
Equity
Swap

Cash-
settled          06/10/2032        06/10/2032            Cash           15013              0.006257
Equity
Swap

Cash-
settled          07/10/2032        07/10/2032            Cash           25229              0.010514
Equity
Swap

Cash-
settled          08/10/2032        08/10/2032            Cash           31607              0.013172
Equity
Swap

Cash-
settled          11/10/2032        11/10/2032            Cash           42752              0.017817
Equity
Swap
Cash-
settled          14/10/2032        14/10/2032            Cash           18238              0.007601
Equity
Swap

Cash-
settled          15/10/2032        15/10/2032            Cash           16725              0.006970
Equity
Swap

Cash-
settled          18/10/2032        18/10/2032            Cash           91246              0.038027
Equity
Swap

Cash-
settled          09/02/2034        09/02/2034            Cash           38                 0.000016
Equity
Swap

Cash-
settled          05/07/2035        05/07/2035            Cash           83560              0.034824
Equity
Swap

Cash-
settled          24/08/2035        24/08/2035            Cash           59563              0.024823
Equity 
Swap

Cash
settled          20/09/2035        20/09/2035            Cash           16501              0.006877
Equity
Swap

Sub Total 8.B2                                                          10772860           4.489584%



9.    Information in relation to the person subject to the
      notification obligation
      2. Full chain of controlled undertakings through which the voting rights
      and/or the financial instruments are effectively held starting with the
      ultimate controlling natural person or legal entities (please add
      additional rows as necessary)

                                      % of voting      % of voting rights
                                      rights if it     through financial     Total of both if it
Ultimate           Name of controlled equals or is     instruments if it     equals or is higher
controlling person undertaking        higher than      equals or is higher   than the notifiable
                                      the notifiable   than the notifiable   threshold
                                      threshold        threshold

 JPMorgan          J.P. Morgan                         4.423061              5.003907%
 Chase & Co.       Securities plc

 JPMorgan          J.P. Morgan
 Chase & Co.       SE

                   J.P. Morgan
                   Equities
 JPMorgan          South Africa
 Chase & Co.       Proprietary
                   Limited

10.   In case of proxy voting
      Name of the proxy holder

      The number and % of voting rights held

      The date until which the voting rights will be held

11.   Additional Information
      Chain of controlled undertakings:

      JPMorgan Chase & Co.
      JPMorgan Chase Bank, National Association (100%)
      J.P. Morgan International Finance Limited (100%)
      J.P. Morgan Capital Holdings Limited (100%)
      J.P. Morgan Securities plc (100%)

      JPMorgan Chase & Co.
      JPMorgan Chase Bank, National Association (100%)
      J.P. Morgan International Finance Limited (100%)
      J.P. Morgan Capital Holdings Limited (100%)
      J.P. Morgan Equities South Africa Proprietary Limited (100%)

      JPMorgan Chase & Co.
      JPMorgan Chase Bank, National Association (100%)
      J.P. Morgan International Finance Limited (100%)
      J.P. Morgan SE (100%)

12.   Date of Completion
      24-Oct-2025
13.   Place Of Completion
      London

The Company has a primary listing on the Main Market of the London Stock
Exchange and a secondary listing on the Johannesburg Stock Exchange.

24 October 2025

Sponsor
Investec Bank Limited

Date: 24-10-2025 04:00:00
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