Skip to main content

6-K

Relx PLC (RELX)

6-K 2026-07-01 For: 2026-06-29
View Original
Added on July 01, 2026

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 6-K

REPORT OF FOREIGN PRIVATE ISSUER

PURSUANT TO RULE 13a-16 OR 15d-16

UNDER THE SECURITIES EXCHANGE ACT OF 1934

May 2026

Commission File Number: 001-13334

RELX PLC

(Translation of registrant’s name into English)

1-3 Strand

London

WC2N 5JR

(Address of principal executive office)

Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F:  ☒Form 20-F  ☐ Form 40-F

EXHIBIT INDEX

Exhibit No Description
99.1 Transaction in Own Shares 05.05.2026
--- ---
99.2 Transaction in Own Shares 11.05.2026
99.3 Transaction in Own Shares 18.05.2026
99.4 Additional Listing 05.19.2026
99.5 Transaction in Own Shares 05.26.2026

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

RELX PLC
Date: 07/01/2026 By: /s/ A. Westley
Name: A. Westley
Title: Deputy Secretary

5 May 2026

RELX PLC

Transactions in own shares

RELX PLC announces that during the period 27 April 2026 to 1 May 2026 it purchased through J.P. Morgan Securities plc a total of 3,111,937 RELX PLC ordinary shares of 14 ^51^/116 pence each on the London Stock Exchange. The purchased shares will be held as treasury shares.

RELX PLC

Transaction details: RELX PLC ordinary shares of 14 ^51^**/**116 pence each

Issuer name: RELX PLC
ISIN: GB00B2B0DG97
Intermediary name: J.P. Morgan Securities plc
Intermediary Code: JPMSGB2L
Time zone: UTC
Currency: GBP<br><br>​

Aggregated information

Date of purchase Number of ordinary shares purchased Highest price paid (p) Lowest price paid (p) Volume weighted average price paid per share (p)
27/04/2026 619,500 2723 2667 2697.6082
28/04/2026 616,000 2690 2648 2674.0217
29/04/2026 625,000 2663 2621 2644.6936
30/04/2026 628,437 2717 2640 2683.3889
01/05/2026 623,000 2703 2673 2692.6820

Following the settlement of the above transactions, RELX PLC holds 49,796,577 ordinary shares in treasury, and has 1,778,653,801 ordinary shares in issue (excluding treasury shares). Since 2 January 2026 RELX PLC has purchased 45,688,705 ordinary shares.

Disaggregated information

In accordance with UKLR 9.6.6R and Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), detailed information about the individual purchases is provided on a weekly basis and for the period above is provided here:

http://www.rns-pdf.londonstockexchange.com/rns/1031D_1-2026-5-5.pdf

Legal Entity Identifier: 549300WSX3VBUFFJOO66

​ ​

11 May 2026

RELX PLC

Transactions in own shares

RELX PLC announces that during the period 5 May 2026 to 8 May 2026 it purchased through J.P. Morgan Securities plc a total of 2,594,000 RELX PLC ordinary shares of 14 ^51^/116 pence each on the London Stock Exchange. The purchased shares will be held as treasury shares.

RELX PLC

Transaction details: RELX PLC ordinary shares of 14 ^51^**/**116 pence each

Issuer name: RELX PLC
ISIN: GB00B2B0DG97
Intermediary name: J.P. Morgan Securities plc
Intermediary Code: JPMSGB2L
Time zone: UTC
Currency: GBP<br><br>​

Aggregated information

Date of purchase Number of ordinary shares purchased Highest price paid (p) Lowest price paid (p) Volume weighted average price paid per share (p)
05/05/2026 619,000 2764 2655 2707.0793
06/05/2026 624,000 2714 2582 2661.6737
07/05/2026 636,000 2542 2443 2471.9592
08/05/2026 715,000 2485 2446 2465.0951

Following the settlement of the above transactions, RELX PLC holds 52,390,577 ordinary shares in treasury, and has 1,776,062,379 ordinary shares in issue (excluding treasury shares). Since 2 January 2026 RELX PLC has purchased 48,282,705 ordinary shares.

Disaggregated information

In accordance with UKLR 9.6.6R and Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), detailed information about the individual purchases is provided on a weekly basis and for the period above is provided here:

http://www.rns-pdf.londonstockexchange.com/rns/8360D_1-2026-5-11.pdf

Legal Entity Identifier: 549300WSX3VBUFFJOO66

​ ​

18 May 2026

RELX PLC

Transactions in own shares

RELX PLC announces that during the period 11 May 2026 to 15 May 2026 it purchased through J.P. Morgan Securities plc a total of 3,442,513 RELX PLC ordinary shares of 14 ^51^/116 pence each on the London Stock Exchange. The purchased shares will be held as treasury shares.

RELX PLC

Transaction details: RELX PLC ordinary shares of 14 ^51^**/**116 pence each

Issuer name: RELX PLC
ISIN: GB00B2B0DG97
Intermediary name: J.P. Morgan Securities plc
Intermediary Code: JPMSGB2L
Time zone: UTC
Currency: GBP<br><br>​

Aggregated information

Date of purchase Number of ordinary shares purchased Highest price paid (p) Lowest price paid (p) Volume weighted average price paid per share (p)
11/05/2025 675,513 2497 2433 2467.2421
12/05/2025 680,000 2458 2395 2427.2309
13/05/2025 681,000 2431 2301 2378.8151
14/05/2025 700,000 2397 2334 2371.9199
15/05/2025 706,000 2430 2352 2393.1074

Following the settlement of the above transactions, RELX PLC holds 55,833,090 ordinary shares in treasury, and has 1,772,624,443 ordinary shares in issue (excluding treasury shares). Since 2 January 2026 RELX PLC has purchased 51,725,218 ordinary shares.

Disaggregated information

In accordance with UKLR 9.6.6R and Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), detailed information about the individual purchases is provided on a weekly basis and for the period above is provided here:

http://www.rns-pdf.londonstockexchange.com/rns/7507E_1-2026-5-18.pdf

Legal Entity Identifier: 549300WSX3VBUFFJOO66

​ ​

Pursuant to the above-named Company’s Share Option Schemes options over Ordinary Shares of p each have been exercised

19 May 2026

RELX PLC

Block Admission Application

RELX PLC (the Company) has made a block admission application to the London Stock Exchange (LSE) for 75,000 Ordinary shares of 14 ^51^/116p each (the Shares) to be admitted to trading. Shares will be allotted in connection with the RELX PLC Sharesave Plan 2023. Upon issuance, the Shares will trade on the LSE, be admitted to the Official List and rank pari passu with the existing issued shares of the Company.

Admission of the Shares is expected on 21 May 2026.

Legal Entity Identifier: 549300WSX3VBUFFJOO66

ISIN: GB00B2B0DG97

26 May 2026

RELX PLC

Transactions in own shares

RELX PLC announces that during the period 18 May 2026 to 22 May 2026 it purchased through J.P. Morgan Securities plc a total of 3,293,200 RELX PLC ordinary shares of 14 ^51^/116 pence each on the London Stock Exchange. The purchased shares will be held as treasury shares.

RELX PLC

Transaction details: RELX PLC ordinary shares of 14 ^51^**/**116 pence each

Issuer name: RELX PLC
ISIN: GB00B2B0DG97
Intermediary name: J.P. Morgan Securities plc
Intermediary Code: JPMSGB2L
Time zone: UTC
Currency: GBP<br><br>​

Aggregated information

Date of purchase Number of ordinary shares purchased Highest price paid (p) Lowest price paid (p) Volume weighted average price paid per share (p)
18/05/2026<br><br>19/05/2026<br><br>20/05/2026<br><br>21/05/2026<br><br>22/05/2026 690,000<br><br>667,000<br><br>661,000<br><br>673,000<br><br>602,200 2522<br><br>2558<br><br>2495<br><br>2496<br><br>2498 2436<br><br>2518<br><br>2428<br><br>2453<br><br>2448 2470.4323<br><br>2536.9269<br><br>2458.0077<br><br>2475.0485<br><br>2473.5548

Following the settlement of the above transactions, RELX PLC holds 59,126,290 ordinary shares in treasury, and has 1,769,333,185 ordinary shares in issue (excluding treasury shares). Since 2 January 2026 RELX PLC has purchased 55,018,418 ordinary shares.

Disaggregated information

In accordance with UKLR 9.6.6R and Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), detailed information about the individual purchases is provided on a weekly basis and for the period above is provided here:

http://www.rns-pdf.londonstockexchange.com/rns/7623F_1-2026-5-26.pdf

Legal Entity Identifier: 549300WSX3VBUFFJOO66

​ ​