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Natwest Group Plc SEC Filings

NWG NYSE

Welcome to our dedicated page for Natwest Group Plc SEC filings (Ticker: NWG), a comprehensive resource for investors and traders seeking official regulatory documents including 10-K annual reports, 10-Q quarterly earnings, 8-K material events, and insider trading forms.

NatWest Group plc (NWG) is a foreign issuer in the commercial banking industry that reports to the U.S. Securities and Exchange Commission primarily through annual reports on Form 20-F and current reports on Form 6-K. This SEC filings page gathers those disclosures for investors tracking NatWest Group plc American Depositary Shares, each representing two ordinary shares.

Form 6-K filings for NatWest Group plc include detailed announcements on transactions in its own shares, where the company reports daily purchases of ordinary shares under an existing share buyback programme. These filings specify the number of ordinary shares purchased, price information, the trading venue, and the resulting number of shares held in treasury and in issue. The company states that it intends to cancel the repurchased ordinary shares, so these documents help investors understand changes in share capital.

Other 6-K submissions provide the full terms of cash tender offers for certain series of U.S. dollar denominated notes, such as subordinated Tier 2 notes, non-cumulative trust preferred securities and perpetual regulatory Tier One securities. The filings describe how purchase prices are calculated using reference U.S. Treasury securities and fixed spreads, and they outline withdrawal rights, expiration deadlines, settlement dates and guaranteed delivery procedures. These disclosures show how NatWest Group manages its outstanding debt and regulatory capital instruments.

Some 6-K reports also address directorate changes, including the retirement of a non-executive director and the appointment of an independent non-executive director, along with biographical details. In addition, certain 6-K filings are expressly incorporated by reference into a NatWest Group plc registration statement on Form F-3, linking ongoing disclosures to the company’s registered securities offerings.

On this page, Stock Titan provides real-time access to NatWest Group plc filings as they are furnished to EDGAR, along with AI-powered summaries that explain the key points of lengthy documents such as Form 6-K reports and the annual Form 20-F. Investors can also review insider-related information that appears in SEC data and use AI-generated highlights to focus on capital actions, share buybacks, debt tender offers and governance updates without reading every line of the underlying filings.

Rhea-AI Summary

NatWest Group plc reported a routine share buyback. On 15-Oct-25, the company purchased 1,027,913 Ordinary Shares on the LSE. The highest price paid was 553.20 GBp, the lowest was 545.60 GBp, and the volume-weighted average price was 548.51 GBp.

Following settlement, NatWest will hold 230,921,283 shares in treasury and have 8,034,112,978 Ordinary Shares in issue (excluding treasury shares). The buyback was executed by Merrill Lynch International under the company’s ongoing programme.

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Rhea-AI Summary

NatWest Group plc reported a routine share buyback trade. On 14-Oct-25, the company repurchased 1,127,302 ordinary shares on the LSE at a volume-weighted average price of 542.98 GBp (highest 546.40 GBp, lowest 537.20 GBp).

Following settlement, NatWest will hold 230,921,283 shares in treasury and have 8,035,140,891 shares in issue (excluding treasury). The trades were executed by Merrill Lynch International (BofA) under the company’s buyback programme.

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NatWest Group plc reported a routine buyback of its own shares. On 13 October 2025, the company purchased 1,100,094 ordinary shares on the LSE, paying a volume‑weighted average price of 543.89 GBp (highest 547.60 GBp, lowest 540.80 GBp). Merrill Lynch International acted as counterparty under the programme.

Following settlement, the company will hold 230,921,283 shares in treasury and have 8,036,268,193 ordinary shares in issue (excluding treasury shares). These figures show the updated share count following the day’s repurchase.

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NatWest Group reports details of shares repurchased under its buyback programme, showing an individual trade on 10-Oct-25 with a highest price paid of 547.60 GBp and a volume-weighted average price of 544.01 GBp. The announcement states that BofA executed the trades on behalf of the company and that a full breakdown of individual trades is available via an attached link to the trade report. The filing is signed by Mark Stevens and satisfies the Market Abuse Regulation disclosure requirement for buyback trade details.

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NatWest Group plc filed a short foreign issuer report disclosing a share purchase on 09 October 2025. The filing lists the highest price paid as 553.20 GBp and the volume‑weighted average price paid as 547.00 GBp. The document provides a Legal Entity Identifier (2138005O9XJIJN4JPN90) and is signed by Mark Stevens. No additional financial tables, earnings data, or material transactions are included in the text provided.

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NatWest Group plc disclosed that Bank of America executed individual share purchases under the group's ongoing buyback programme. The filing lists trades on 08-Oct-25

The highest reported trade price was 553.60 GBp and the reported volume‑weighted average prices were 550.27 GBp and 550.38 GBp. A full breakdown of individual trades is provided in an attached RNS PDF (link included). The report is signed by Mark Stevens.

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NatWest Group plc filed a Form 13F reporting its U.S. institutional holdings. The report lists 72 holdings with a total value of $404,613,753. The filing shows 1 other included manager, Coutts & Company, and was signed by Gary Moore on 10-08-2025.

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NatWest Group repurchased 742,453 ordinary shares through Merrill Lynch International as part of its ongoing buyback programme, at a lowest reported price of 539 GBp per share. The company says these shares will be cancelled. After settlement the group will hold 230,956,798 shares in treasury and will have 8,039,851,266 shares in issue excluding treasury.

The trades were executed under instructions given to the broker on 25 July 2025 and were previously announced on 28 July 2025. A full breakdown of individual trades is published in the linked transaction schedule.

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NatWest Group plc purchased 297,459 ordinary shares at a lowest price of 538.20p per share on the LSE as part of its ongoing buyback programme instructed on 25 July 2025. The company intends to cancel the repurchased shares. After settlement, NatWest will hold 230,976,667 shares in treasury and will have 8,040,573,850 ordinary shares in issue (excluding treasury). The filing points readers to a detailed breakdown of individual trades via a linked transaction report and includes contact details for investor and media relations.

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NatWest Group disclosed two share purchases on 03 October 2025, reporting a highest price paid of 541.00 GBp with a volume-weighted average price of 534.69 GBp, and a second line showing 540.80 GBp with a 535.30 GBp. The short filing includes a signature block signed by Mark Stevens and a Media Relations reference. No additional context, quantities purchased, or narrative explanation is provided in the text supplied.

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FAQ

How many Natwest Group Plc (NWG) SEC filings are available on StockTitan?

StockTitan tracks 235 SEC filings for Natwest Group Plc (NWG), including 10-K annual reports, 10-Q quarterly reports, 8-K current reports, and Form 4 insider trading disclosures. Each filing includes AI-generated summaries, impact scoring, and sentiment analysis.

When was the most recent SEC filing for Natwest Group Plc (NWG)?

The most recent SEC filing for Natwest Group Plc (NWG) was filed on October 15, 2025.

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61.98B
3.99B
Banks - Regional
Financial Services
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United Kingdom
Edinburgh

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