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

Release Date: 06/08/2026 13:00
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 financial instruments

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
                                 City of registered   Country of registered
     Name                        office               office

     J.P. Morgan Securities
     PLC

5.   Date on which the threshold was crossed or reached
     04-Aug-2026

6.   Date on which Issuer notified
     06-Aug-2026

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

                                             % of voting
                         % of voting         rights through                                                                 
                         rights attached     financial           Total of both    Total number of
                         to shares (total    instruments         in % (8.A +      voting rights                                                                 
                         of 8.A)             (total of 8.B 1 +   8.B)             held in issuer
                                             8.B 2)

    Resulting
    situation on the
    date on which        0.398115            4.989463            5.387578         12506845
    threshold was
    crossed or
    reached

    Position of
    previous             0.261423            5.246034            5.507457
    notification (if
    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 direct   Number of indirect      % of direct     % of indirect voting
shares ISIN code(if   voting rights      voting rights           voting rights   rights (DTR5.2.1)
possible)             (DTR5.1)           (DTR5.2.1)              (DTR5.1)

GB00BMH18Q19                             924157                                  0.398115

Sub Total 8.A         924157                                      0.398115%


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

Cash-
settled      14/08/2026   14/08/2026   Cash        910556          0.392255
Equity
Swap

Cash-
settled
             30/09/2026   30/09/2026   Cash        311745          0.134286
Equity
Swap

Cash-
settled      15/10/2026   15/10/2026   Cash        20962           0.009029
Equity
Swap

Cash-
settled      23/10/2026   23/10/2026   Cash        115591          0.049794
Equity
Swap

Cash-
settled      30/11/2026   30/11/2026   Cash        14419           0.006210
Equity
Swap

Cash-
settled      11/01/2027   11/01/2027   Cash        42340           0.018238
Equity
Swap

Cash-
settled      24/02/2027   24/02/2027   Cash        329305          0.141860
Equity
Swap

Cash-
settled      02/03/2027   02/03/2027   Cash        89162           0.038393
Equity
Swap

Cash-
settled      24/03/2027   24/03/2027   Cash        847603          0.365136
Equity
Swap

Cash-
settled      22/04/2027   22/04/2027   Cash        323019          0.139151
Equity
Swap

Cash-
settled      04/05/2027   04/05/2027   Cash        23154           0.009973
Equity
Swap

Cash-
settled      07/05/2027   07/05/2027   Cash        539162          0.232189
Equity
Swap

Cash-
settled      08/05/2027   08/05/2027   Cash        5229            0.002249
Equity
Swap

Cash-
settled      12/05/2027   12/05/2027   Cash        13961           0.006014
Equity
Swap

Cash-
settled      13/05/2027   13/05/2027   Cash        403607          0.173868
Equity
Swap

Cash-
settled      28/05/2027   28/05/2027   Cash        1731            0.000741
Equity
Swap

Cash-
settled      02/06/2027   02/06/2027   Cash        203815          0.087800
Equity
Swap

Cash-
settled      14/06/2027   14/06/2027   Cash        63998           0.027568
Equity
Swap

Cash-
settled      21/06/2027   21/06/2027   Cash        3813            0.001641
Equity
Swap

Cash-
settled      23/06/2027   23/06/2027   Cash        10203           0.004395
Equity
Swap

Cash-
settled      02/07/2027   02/07/2027   Cash        73179           0.031511
Equity
Swap

Cash-
settled      06/07/2027   06/07/2027   Cash        84657           0.036469
Equity
Swap

Cash-
settled      15/07/2027   15/07/2027   Cash        4628928         1.994080
Equity
Swap

Cash-
settled      19/07/2027   19/07/2027   Cash        3338            0.001437
Equity
Swap

Cash-
settled      20/07/2027   20/07/2027   Cash        6782            0.002916
Equity
Swap

Cash-
settled      28/07/2027   28/07/2027   Cash        2989            0.001286
Equity
Swap

Cash-
settled      03/08/2027   03/08/2027   Cash        18648           0.008032
Equity
Swap

Cash-
settled      04/08/2027   04/08/2027   Cash        217935          0.093877
Equity
Swap

Cash-
settled      05/08/2027   05/08/2027   Cash        54000           0.023262
Equity
Swap

Cash-
settled      16/08/2027   16/08/2027   Cash        168             0.000072
Equity
Swap

Cash-
settled      18/08/2027   18/08/2027   Cash        267800          0.115362
Equity
Swap

Cash-
settled      19/08/2027   19/08/2027   Cash        2317            0.000995
Equity
Swap

Cash-
settled      25/08/2027   25/08/2027   Cash        2006            0.000863
Equity
Swap

Cash-
settled      02/09/2027   02/09/2027   Cash        197             0.000083
Equity
Swap

Cash-
settled      24/12/2027   24/12/2027   Cash        14545           0.006261
Equity
Swap

Cash-
settled      30/05/2028   30/05/2028   Cash        228051          0.098217
Equity
Swap

Cash-
settled      02/08/2029   02/08/2029   Cash        10435           0.004495
Equity
Swap

Cash-
settled      02/07/2030   02/07/2030   Cash        158337          0.068207
Equity
Swap

Cash-
settled      02/08/2030   02/08/2030   Cash        375274          0.161662
Equity
Swap

Cash-
settled      30/01/2031   30/01/2031   Cash        11578           0.004987
Equity
Swap

Cash-
settled      03/07/2031   03/07/2031   Cash        2180            0.000939
Equity
Swap

Cash-
settled      06/10/2032   06/10/2032   Cash        15013           0.006467
Equity
Swap

Cash-
settled      07/10/2032   07/10/2032   Cash        12960           0.005583
Equity
Swap

Cash-
settled      11/10/2032   11/10/2032   Cash        15080           0.006496
Equity
Swap

Cash-
settled      15/10/2032   15/10/2032   Cash        16725           0.007204
Equity
Swap

Cash-
settled      24/08/2035   24/08/2035   Cash        327285          0.140990
Equity
Swap

Cash-
settled      06/03/2036   06/03/2036   Cash        12912           0.005562
Equity
Swap

Cash-
settled      10/03/2036   10/03/2036   Cash        109636          0.047227
Equity
Swap

Cash-
settled      15/04/2036   15/04/2036   Cash        403607          0.173868
Equity
Swap

Cash-
settled      05/06/2036   05/06/2036   Cash        271             0.000116
Equity
Swap

Cash-
settled      24/06/2036   24/06/2036   Cash        119421          0.051443
Equity
Swap

Cash-
settled      30/06/2036   30/06/2036   Cash        113059          0.048704
Equity
Swap

Sub Total 8.B2                                     11582688        4.989463%

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

                     J.P. Morgan
  JPMorgan           Securities                            4.521874              4.895004%
  Chase & Co.        PLC

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

  JPMorgan           J.P. Morgan
  Chase & Co.        Securities LLC

                     Almea 2
  JPMorgan           Segregated
  Chase & Co.        Portfolio
                     Company


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

     If date does not apply, explain below

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 SE (100%)

     JPMorgan Chase & Co.
     JPMorgan Chase Holdings LLC (100%)
     J.P. Morgan Broker-Dealer Holdings Inc. (100%)
     J.P. Morgan Securities LLC (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%)

12.  Date of Completion
     06-Aug-2026

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.

6 August 2026

Sponsor
Investec Bank Limited

Date: 06-08-2026 01:00:00
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