Business
Block listing Interim Review
Chemring Group PLC has provided a six-monthly update on its 2018 UK Sharesave Plan, detailing share movements between June 18, 2025, and December 17, 2025. During this period, a total of 405,729 ordinary shares were issued under the plan across various grant dates, with the largest issuance of 346,044 shares occurring for options granted on September 1, 2022. The company confirmed its total issued share capital remains at 271,856,988 ordinary shares and 62,500 cumulative preference shares. Disclaimer*

About this update from Chemring Group Plc
[{"type":"text","content":"\n\nSCHEDULE 5\n\nBLOCKLISTING SIX MONTHLY RETURN\n\n1. Name of company\nCHEMRING GROUP PLC\n\n\n2. Name of scheme\n\nTHE CHEMRING GROUP 2018 UK SHARESAVE PLAN - OPTIONS GRANTED 30/07/2020\n\n\n3. Period of return: From 18/06/2025 TO 17/12/2025\n\n\n4. Number and class of shares(s)\n (amount of stock/debt security)\n not issued under scheme\n\n312,770 1p ORDINARY SHARES\n\n\n5. Number of shares issued/allotted\n under scheme during period\n \n66,085 1p ORDINARY SHARES\n\n\n6. Balance under scheme not yet issued/allotted\n at end of period\n\n246,685 1p ORDINARY SHARES\n\n\n7. Number and class of share(s)\n (amount of stock/debt securities)\n originally listed and the date of admission\n\nPROVISIONAL LISTING FOR 812,457 1p ORDINARY SHARES GRANTED 06/01/2021\n\n\nPlease confirm total number of shares in issue at the end of the period\nin order for us to update our records\n271,856,988 1p ORDINARY SHARES\n62,500 £1 7% CUMULATIVE PREFERENCE SHARES\n\nContact for queries: Address: CHEMRING GROUP PLC\nROKE MANOR\nOLD SALISBURY LANE\nROMSEY\nHAMPSHIRE\nSO51 0ZN\n Name: SARAH ELLARD\nTelephone: 07710 553757\n\n\nSCHEDULE 5\n \nBLOCKLISTING SIX MONTHLY RETURN\n\n \n1. Name of company\nCHEMRING GROUP PLC\n\n\n2. Name of scheme\n\nTHE CHEMRING GROUP 2018 UK SHARESAVE PLAN - OPTIONS GRANTED 26/07/2021\n\n\n3. Period of return: From 18/06/2025 TO 17/12/2025\n\n\n4. Number and class of shares(s)\n (amount of stock/debt security)\n not issued under scheme\n\n175,123 1p ORDINARY SHARES\n\n\n5. Number of shares issued/allotted\n under scheme during period\n \n600 1p ORDINARY SHARES\n\n\n6. Balance under scheme not yet issued/allotted\n at end of period\n 174,523 1p ORDINARY SHARES\n\n\n7. Number and class of share(s)\n (amount of s...