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NatWest Group plc (NWG) SEC Filings, Sep 9-18, 2025

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 SEC filings document the reporting of a foreign private issuer with American depositary shares tied to its ordinary shares. Form 6-K reports furnish London company announcements, interim management statements, segment performance for Retail Banking, Private Banking & Wealth Management and Commercial & Institutional, and disclosures on capital, liquidity, funding risk, credit risk, expected credit loss provisions, litigation and regulatory matters.

The filings also cover capital-structure and governance subjects, including ordinary-share buybacks, treasury shares, total voting rights, preference shares, major-holdings notifications, transactions by persons discharging managerial responsibility, and supplementary prospectus materials for the Euro Medium Term Note Programme. Registration-related disclosures and risk-factor references connect these updates with NatWest Group's broader SEC reporting framework.

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NatWest Group purchased 1,330,698 ordinary shares at a lowest price of 519.60 GBp per share as part of its ongoing buyback programme instructed on 25 July 2025 and announced on 28 July 2025. The repurchased shares were bought on the LSE from Merrill Lynch International (BofA). The Company intends to cancel the repurchased shares rather than retain them in treasury. After settlement, NatWest will hold 231,069,404 shares in treasury and will have 8,052,829,854 ordinary shares in issue excluding treasury shares. A full trade breakdown is available at the provided RNS link.

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NatWest Group purchased 702,602 ordinary shares as part of its ongoing buyback programme, with the lowest price paid reported at 523.80 GBp per share. The purchases were executed by Merrill Lynch International (Bank of America) under instructions dated 25 July 2025 and previously announced on 28 July 2025. The Group intends to cancel the repurchased shares rather than retain them in treasury.

After settlement, NatWest will hold 231,069,404 shares in treasury and will have 8,054,160,552 ordinary shares in issue excluding treasury. A full breakdown of individual trades executed by BofA is provided in the linked trade report. Contact details for Investor Relations and Media Relations are included in the filing.

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NatWest Group plc reports that certain persons discharging managerial responsibility acquired ordinary shares through reinvestment of the ordinary dividend on 12 September 2025. The acquisitions were by the Chairman, several Independent non-executive directors and the Senior Independent Director at a purchase price of £5.2956 per share. The company notes the nominal share value is £1.076923076923077. Transactions occurred on the London Stock Exchange (XLON). Legal Entity Identifier: 2138005O9XJIJN4JPN90. Contact details and signature by Mark Stevens are provided.

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NatWest Group plc announced that CEO Paul Thwaite will take part in a fireside chat at the Bank of America Financials Conference on Tuesday 16 September at 8:00am BST. The event will be webcast live and available on the company’s investor website. The filing includes contact details for Investor Relations (Claire Kane) and provides the company LEI. The report is signed by an authorized officer, Mark Stevens.

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NatWest Group announced a purchase of 756,033 ordinary shares from Merrill Lynch International at a lowest price of 521.40 GBp per share as part of its ongoing buyback programme. The repurchased shares are intended to be cancelled. After settlement, the company will hold 231,069,404 shares in treasury and will have 8,055,291,224 ordinary shares in issue excluding treasury.

The purchases were executed under instructions given to BofA on 25 July 2025 and reported in the detailed transaction breakdown linked by the company. Contact details for investor and media relations and the company LEI are provided.

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NatWest Group plc reports that Standard & Poor’s Global Ratings has upgraded its long-term issuer credit rating to 'A-' from 'BBB+', while affirming the 'A-2' short-term issuer credit rating. S&P also upgraded all senior unsecured debt and regulatory capital instruments issued by NatWest Group by one notch, and the overall outlook remains Stable.

This lift into the ‘A-’ long-term category reflects an improved view of NatWest Group’s credit profile and may influence how lenders and bond investors assess its strength and funding costs, even though S&P notes that ratings are not investment recommendations and may change over time.

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NatWest Group plc executed a tranche of its announced share buyback programme, purchasing 514,391 ordinary shares at a lowest price of 518.20 GBp on the London Stock Exchange through Merrill Lynch International (BofA). The company states it intends to cancel the repurchased shares. After settlement, NatWest will hold 231,143,214 shares in treasury and will have 8,055,973,447 ordinary shares in issue excluding treasury shares. The purchases were carried out under instructions given to BofA on 25 July 2025 and form part of the existing buyback programme.

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NatWest Group plc filed an American Current Report disclosing a share purchase on the London Stock Exchange of 876,659 ordinary shares at a volume‑weighted average price of 513.80 GBp. The filing is signed by Mark Stevens on 09 September 2025. The disclosure appears to record a routine buy transaction; no additional financial results, material transactions, or forward guidance are included in the text provided.

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NatWest Group plc has notified holders of its 300,000,000 Fixed to Fixed Rate Notes (ISIN: XS1795261822) that the Notes will be redeemed on 19 September 2025. The full amount outstanding is 300,000,000 and the redemption will be made at par under the Notes' call option with accrued interest paid up to but excluding the redemption date. The notice states the redemption is made pursuant to the terms of the Notes and provides a link to the full notice and a contact in NatWest Treasury for further information.

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NatWest Group plc announced that Katie Murray, Chief Financial Officer, will participate in a fireside chat at the Barclays Global Financials Conference on Tuesday 9 September at 9am EDT / 2pm BST. A live webcast will be available on the company website at https://investors.natwestgroup.com/ for anyone who wants to watch the session. For further information, the filing lists Claire Kane, Director of Investor Relations, with phone contact +44 (0) 20 7672 1758. The report includes the company's LEI: 2138005O9XJIJN4JPN90 and is signed by Mark Stevens with the date 09 September 2025.

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FAQ

How many NatWest Group plc (NWG) SEC filings are available on StockTitan?

StockTitan tracks 301 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 September 18, 2025.