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BYTES:  9,034   +34 (+0.38%)  29/07/2026 18:43

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

Release Date: 29/07/2026 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

                                  City of registered   Country of registered
     Name                         office               office

     J.P. Morgan Securities
     PLC

5.   Date on which the threshold was crossed or reached
     27-Jul-2026

6.   Date on which Issuer notified
     29-Jul-2026

7.   Total positions of person(s) subject to the notification
     obligation
                                                  % of voting
                              % of voting         rights through      Total of both    Total number of
                              rights attached     financial           in % (8.A +      voting rights
                              to shares (total    instruments         8.B)             held in issuer
                              of 8.A)             (total of 8.B 1 +
                                                  8.B 2)

     Resulting
     situation on the
     date on which            0.261423            5.246034            5.507457         12840391
     threshold was
     crossed or
     reached

     Position of
     previous                 0.110660            5.432520            5.543180
     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                              609496                                   0.261423

Sub Total 8.A         609496                                      0.261423%


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

Cash-
settled          04/08/2026        04/08/2026            Cash           287               0.000123
Equity
Swap

Cash-
settled          05/08/2026        05/08/2026            Cash           186000            0.079778
Equity
Swap

Cash-
settled          14/08/2026        14/08/2026            Cash           910556            0.390552
Equity
Swap

Cash-
settled          30/09/2026        30/09/2026            Cash           376725            0.161584
Equity
Swap

Cash-
settled          15/10/2026        15/10/2026            Cash           20962             0.008991
Equity
Swap

Cash-
settled          23/10/2026        23/10/2026            Cash           115591            0.049579
Equity
Swap

Cash-
settled          30/11/2026        30/11/2026            Cash           14419             0.006185
Equity
Swap

Cash-
settled          11/01/2027        11/01/2027            Cash           42340             0.018160
Equity
Swap

Cash-
settled          04/02/2027        04/02/2027            Cash           135               0.000058
Equity
Swap

Cash-
settled          24/02/2027        24/02/2027            Cash           359305            0.154112
Equity
Swap

Cash-
settled          02/03/2027        02/03/2027            Cash           190598            0.081751
Equity
Swap

Cash-
settled          24/03/2027        24/03/2027            Cash           847715            0.363599
Equity
Swap

Cash-            22/04/2027        22/04/2027            Cash           323019            0.138548
settled
Equity
Swap

Cash-
settled          04/05/2027        04/05/2027            Cash           26850             0.011516
Equity
Swap

Cash-
settled          07/05/2027        07/05/2027            Cash           562333            0.241194
Equity
Swap

Cash-
settled          08/05/2027        08/05/2027            Cash           7536              0.003232
Equity
Swap

Cash-
settled          12/05/2027        12/05/2027            Cash           13961             0.005988
Equity
Swap

Cash-
settled          13/05/2027        13/05/2027            Cash           380812            0.163337
Equity
Swap

Cash-
settled          28/05/2027        28/05/2027            Cash           1797              0.000771
Equity
Swap

Cash-
settled          01/06/2027        01/06/2027            Cash           6942              0.002978
Equity
Swap

Cash-
settled          02/06/2027        02/06/2027            Cash           203815            0.087420
Equity
Swap

Cash-        
settled          14/06/2027        14/06/2027            Cash           63998             0.027450
Equity
Swap

Cash-
settled          21/06/2027        21/06/2027            Cash           9455              0.004055
Equity
Swap

Cash-
settled          23/06/2027        23/06/2027            Cash           11044             0.004737
Equity
Swap

Cash-
settled          29/06/2027        29/06/2027            Cash           139161            0.059688
Equity
Swap

Cash-
settled          02/07/2027        02/07/2027            Cash           32827             0.014080
Equity
Swap

Cash-
settled          15/07/2027        15/07/2027            Cash           4607588           1.976270
Equity
Swap

Cash-
settled          19/07/2027        19/07/2027            Cash           3338              0.001432
Equity
Swap

Cash-
settled          20/07/2027        20/07/2027            Cash           6782              0.002909
Equity
Swap

Cash-
settled          28/07/2027        28/07/2027            Cash           7187              0.003083
Equity
Swap

Cash-
settled          03/08/2027        03/08/2027            Cash           20048             0.008599
Equity
Swap

Cash-
settled          04/08/2027        04/08/2027            Cash           200050            0.085805
Equity
Swap

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

Cash-            18/08/2027        18/08/2027            Cash           261600            0.112205
settled
Equity
Swap

Cash-
settled          19/08/2027        19/08/2027            Cash           1843              0.000790
Equity
Swap

Cash-
settled          25/08/2027        25/08/2027            Cash           4828              0.002071
Equity
Swap

Cash-
settled          02/09/2027        02/09/2027            Cash           197               0.000084
Equity
Swap

Cash-
settled          24/12/2027        24/12/2027            Cash           11230             0.004817
Equity
Swap

Cash-
settled          30/05/2028        30/05/2028            Cash           435913            0.186970
Equity
Swap

Cash-
settled          02/08/2029        02/08/2029            Cash           10435             0.004476
Equity
Swap

Cash-
settled          02/07/2030        02/07/2030            Cash           249766            0.107129
Equity
Swap

Cash-
settled          02/08/2030        02/08/2030            Cash           406813            0.174489
Equity
Swap

Cash-
settled          30/01/2031        30/01/2031            Cash           11578             0.004966
Equity
Swap

Cash-
settled          03/07/2031        03/07/2031            Cash           2180              0.000935
Equity
Swap

Cash-
settled          06/10/2032        06/10/2032            Cash           15013             0.006439
Equity
Swap

Cash-
settled          07/10/2032        07/10/2032            Cash           12960             0.005559
Equity
Swap

Cash-
settled
                 11/10/2032        11/10/2032            Cash           15080             0.006468
Equity
Swap

Cash-
settled          15/10/2032        15/10/2032            Cash           16725             0.007174
Equity
Swap

Cash-
settled          24/08/2035        24/08/2035            Cash           324822            0.139322
Equity
Swap

Cash-
settled          06/03/2036        06/03/2036            Cash           18080             0.007755
Equity
Swap

Cash-
settled          10/03/2036        10/03/2036            Cash           146127            0.062676
Equity
Swap

Cash-
settled          15/04/2036        15/04/2036            Cash           380812            0.163337
Equity
Swap

Cash-
settled          05/06/2036        05/06/2036            Cash           269               0.000115
Equity
Swap

Cash-
settled          24/06/2036        24/06/2036            Cash           120784            0.051806
Equity
Swap

Cash-            30/06/2036        30/06/2036            Cash           90496             0.038815
settled
Equity
Swap

Sub Total 8.B2                                                          12230895          5.246034%


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                            4.782322              5.018868%
  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 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%)

     JPMorgan Chase & Co.
     JPMorgan Chase Holdings LLC (100%)
     J.P. Morgan Financial Investments Limited (100%)
     J.P. Morgan Markets Limited (100%)
     Almea 2 Segregated Portfolio Company (100%)

12.  Date of Completion
     29-Jul-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.

29 July 2026

Sponsor
Investec Bank Limited

Date: 29-07-2026 04:00:00
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