Transaction in Own Shares Bytes Technology Group plc (Incorporated in England and Wales) (Registered number: 12935776) LEI: 213800LA4DZLFBAC9O33 Share code: BYI ISIN: GB00BMH18Q19 ("BTG" or the "Company") Transaction in Own Shares 1 September 2025 BTG announces that on 29 August 2025, it purchased the following number of its ordinary shares of £0.01 each (the "Ordinary Shares") on the London Stock Exchange from Numis Securities Limited ("Deutsche Numis"), in accordance with the terms of the Share Buyback Programme announced on 15 August 2025 (the "Buyback Programme"). Aggregate number of Ordinary Shares purchased: 100,000 Volume weighted average price paid per share (GBP): 402.9003 Highest price paid per share (GBP): 406.80 Lowest price paid per share (GBP): 399.00 BTG intends to cancel all of the purchased shares. Following settlement of the above purchases and cancellation of the purchased Ordinary Shares, the Company's total number of Ordinary Shares in issue, and its total voting rights, will be 242,011,605 Ordinary Shares. The Company does not hold any shares in treasury. In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018), the schedule below contains detailed information about the purchases made by Deutsche Numis on behalf of the Company as part of the Buyback Programme. Enquiries: Bytes Technology Group plc James Zaremba, Investor Relations Tel: +44 (0)1372 418 500 Email: IR@bytesplc.com Sodali & Co Elly Williamson Tilly Abraham Tel: +44 (0)2072 501446 Email: btg@info.sodali.com The Company has a primary listing on the Main Market of the London Stock Exchange and a secondary listing on the Johannesburg Stock Exchange. Sponsor Investec Bank Limited Schedule of Purchases - Individual Transactions Number of ordinary Transaction price (GBP share) Time of transaction Trading shares purchased (UK Time) venue 1244 403.60 08:16:00 XLON 793 403.00 08:17:41 XLON 771 403.00 08:25:18 XLON 867 403.00 08:25:18 XLON 690 403.00 08:25:18 XLON 732 401.20 08:39:39 XLON 686 401.00 08:46:05 XLON 665 400.00 08:54:38 XLON 81 399.80 09:08:50 XLON 698 399.80 09:08:50 XLON 25000 399.80 09:11:57 XLON 681 399.40 09:13:42 XLON 717 399.00 09:16:23 XLON 204 400.00 09:24:35 XLON 450 400.00 09:24:37 XLON 197 400.00 09:24:37 XLON 213 400.00 09:24:37 XLON 323 400.60 09:24:57 XLON 210 400.60 09:24:57 XLON 159 400.60 09:24:57 XLON 651 400.40 09:25:05 XLON 337 400.60 09:25:33 XLON 398 400.60 09:25:33 XLON 796 401.00 09:44:19 XLON 206 401.00 09:46:19 XLON 788 401.00 09:55:19 XLON 181 401.20 10:00:09 XLON 19 401.20 10:00:14 XLON 185 401.20 10:00:32 XLON 240 401.20 10:00:32 XLON 984 401.00 10:02:41 XLON 806 401.00 10:05:53 XLON 675 401.00 10:17:50 XLON 750 401.00 10:20:41 XLON 700 402.20 10:30:18 XLON 442 402.20 10:35:45 XLON 273 402.20 10:35:45 XLON 793 401.80 10:36:23 XLON 98 402.00 10:47:26 XLON 183 402.00 10:49:06 XLON 256 402.40 10:50:46 XLON 720 402.40 10:50:46 XLON 409 402.40 10:50:46 XLON 10 402.80 11:01:33 XLON 10 402.80 11:01:39 XLON 358 402.80 11:01:46 XLON 5 402.80 11:01:47 XLON 5 402.80 11:02:14 XLON 43 402.80 11:02:14 XLON 312 402.80 11:02:14 XLON 756 402.80 11:03:01 XLON 689 402.40 11:03:39 XLON 538 402.60 11:13:45 XLON 145 402.60 11:13:45 XLON 83 402.60 11:15:46 XLON 183 402.60 11:17:26 XLON 780 403.00 11:30:56 XLON 445 403.20 11:44:58 XLON 215 403.20 11:44:58 XLON 183 404.00 11:59:06 XLON 789 404.00 12:01:51 XLON 564 404.00 12:01:51 XLON 709 404.40 12:14:48 XLON 725 404.20 12:19:01 XLON 149 404.20 12:19:01 XLON 827 404.00 12:30:46 XLON 702 405.20 12:39:49 XLON 779 405.20 12:41:38 XLON 779 404.80 12:41:39 XLON 744 404.60 12:44:24 XLON 50 404.20 12:50:46 XLON 146 404.20 12:51:08 XLON 497 404.20 12:52:05 XLON 90 404.60 13:00:42 XLON 183 404.60 13:01:23 XLON 232 404.80 13:01:45 XLON 173 404.80 13:07:22 XLON 238 404.80 13:09:49 XLON 183 404.80 13:12:09 XLON 775 405.00 13:14:02 XLON 63 405.00 13:14:02 XLON 168 404.80 13:15:10 XLON 360 404.80 13:15:23 XLON 251 404.80 13:15:23 XLON 673 404.60 13:25:40 XLON 584 404.40 13:25:42 XLON 201 404.40 13:25:42 XLON 785 404.20 13:25:43 XLON 19 405.00 13:36:41 XLON 190 405.00 13:37:22 XLON 350 405.00 13:37:47 XLON 883 405.20 13:38:17 XLON 767 405.00 13:38:52 XLON 1 405.00 13:38:52 XLON 88 405.00 13:38:52 XLON 517 404.60 13:40:42 XLON 238 404.60 13:40:42 XLON 245 404.20 13:44:02 XLON 201 404.20 13:52:22 XLON 185 404.20 13:54:02 XLON 179 404.40 13:56:41 XLON 183 404.40 13:57:22 XLON 351 404.40 13:57:53 XLON 165 404.40 13:59:02 XLON 18 404.40 13:59:02 XLON 94 404.40 13:59:04 XLON 410 404.40 13:59:41 XLON 178 404.40 14:00:53 XLON 23 404.40 14:00:53 XLON 275 404.40 14:02:25 XLON 183 404.40 14:04:02 XLON 138 404.60 14:07:22 XLON 256 404.60 14:09:02 XLON 201 404.60 14:10:42 XLON 75 404.60 14:11:06 XLON 108 404.40 14:11:23 XLON 654 404.20 14:11:28 XLON 149 404.00 14:16:39 XLON 742 404.20 14:21:26 XLON 692 405.20 14:25:42 XLON 126 405.20 14:25:58 XLON 268 405.00 14:26:26 XLON 268 405.00 14:26:26 XLON 491 405.00 14:26:26 XLON 184 405.00 14:26:26 XLON 310 405.00 14:27:22 XLON 263 404.60 14:29:02 XLON 112 405.00 14:34:40 XLON 446 405.00 14:35:42 XLON 757 405.00 14:37:05 XLON 103 405.00 14:37:05 XLON 653 405.00 14:37:05 XLON 699 404.60 14:37:57 XLON 12 404.60 14:38:17 XLON 903 404.80 14:47:04 XLON 825 404.60 14:47:12 XLON 201 404.80 14:59:02 XLON 191 405.00 14:59:02 XLON 364 405.40 15:00:38 XLON 379 405.40 15:00:38 XLON 715 405.80 15:03:20 XLON 667 405.60 15:04:22 XLON 674 405.60 15:04:22 XLON 220 405.40 15:06:22 XLON 183 405.40 15:06:22 XLON 238 405.40 15:08:10 XLON 137 405.40 15:09:50 XLON 571 405.80 15:14:02 XLON 194 405.80 15:14:02 XLON 680 405.60 15:15:13 XLON 802 405.80 15:19:59 XLON 753 405.60 15:20:42 XLON 707 405.20 15:21:16 XLON 795 405.60 15:31:18 XLON 681 405.40 15:31:19 XLON 36 405.20 15:32:25 XLON 816 406.00 15:40:49 XLON 132 406.00 15:41:15 XLON 625 406.00 15:41:15 XLON 456 406.40 15:45:13 XLON 238 406.40 15:45:13 XLON 743 406.80 15:47:56 XLON 1004 406.60 15:50:01 XLON 429 406.40 15:54:39 XLON 201 406.40 15:54:39 XLON 72 406.40 15:54:40 XLON 758 406.20 15:55:41 XLON 277 406.00 16:01:48 XLON 495 406.00 16:01:48 XLON 655 406.00 16:04:36 XLON 790 406.00 16:04:36 XLON 428 406.20 16:11:59 XLON 373 406.20 16:11:59 XLON 651 406.00 16:14:41 XLON 807 406.00 16:14:41 XLON 605 405.40 16:17:22 XLON 146 405.40 16:17:22 XLON 760 405.00 16:19:26 XLON 723 405.00 16:22:26 XLON Date: 01-09-2025 08:30:00 Produced by the JSE SENS Department. 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