Transaction in Own Shares

Summary by AI BETAClose X

Aviva plc has announced the purchase of 20,000 of its own ordinary shares on March 11, 2026, for cancellation as part of its ongoing buy-back program. The shares were acquired through its corporate stockbroker, Citigroup Global Markets Limited, at prices ranging from 618.00 pence to 628.00 pence, with a volume-weighted average price of 623.37 pence. Following this transaction and subsequent cancellation, Aviva's total issued ordinary shares will be 3,057,657,159, which shareholders can use as a denominator for regulatory notification calculations.

Disclaimer*

Aviva PLC
12 March 2026
 

Transaction in Own Shares

Aviva plc (the "Company") announces today that, acting through its corporate stockbroker, Citigroup Global Markets Limited (the "Broker"), it has purchased for cancellation the following number of the Company's ordinary shares of 3217/19 pence each.

 

Date of purchase:

11 March 2026

Aggregate number of ordinary shares of 3217/19 pence each purchased:

20,000

Lowest price paid per share (GBp):

618.00p

Highest price paid per share (GBp):

628.00p

Volume-weighted average price paid per share (GBp):

623.37p

 

The Company intends to cancel the purchased ordinary shares.

These share purchases form part of the Company's existing buy-back programme and were effected pursuant to the non-discretionary agreement entered into with the Broker, as announced on 05 March 2026.

Following the cancellation of the repurchased ordinary shares, the Company will have 3,057,657,159 issued ordinary shares of 3217/19 pence each admitted to trading. Each ordinary share carries the right to one vote in relation to all circumstances at general meetings of the Company. The Company does not hold any ordinary shares in treasury.

The above figure (3,057,657,159) may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.

The table below contains detailed information of the individual trades made by the Broker on the London Stock Exchange and the CBOE Europe Limited recognised investment exchange (through its order books having market identification codes CHIX or BATE) as part of the buyback programme.

Schedule of Purchases

Shares purchased:        20,000 Aviva plc (ISIN: GB00BPQY8M80)

Date of purchases:        11 March 2026

Investment firm:            Citigroup Global Markets Limited

Aggregate information:

Venue

Volume-weighted average price

Aggregated volume

Lowest price per share

Highest price per share

London Stock Exchange (XLON)

623.37

20,000

618.00

628.00

 

Individual transactions:

Name

Transaction Date

Transaction Time

Volume

Price (GBp)

Trading Venue

Transaction Reference Code

AVIVA PLC

11-Mar-2026

16:00:15

380

624.2000

XLON

xb4ML3xQcM4

AVIVA PLC

11-Mar-2026

16:00:00

348

624.2000

XLON

xb4ML3xQd1Q

AVIVA PLC

11-Mar-2026

15:55:09

818

624.2000

XLON

xb4ML3xQlAq

AVIVA PLC

11-Mar-2026

15:50:44

370

623.4000

XLON

xb4ML3xQN1w

AVIVA PLC

11-Mar-2026

15:43:38

408

624.4000

XLON

xb4ML3xQOid

AVIVA PLC

11-Mar-2026

15:33:44

374

625.0000

XLON

xb4ML3xQ8OS

AVIVA PLC

11-Mar-2026

15:26:12

426

625.8000

XLON

xb4ML3xRwHU

AVIVA PLC

11-Mar-2026

15:18:00

349

625.8000

XLON

xb4ML3xRjbM

AVIVA PLC

11-Mar-2026

15:12:56

362

626.6000

XLON

xb4ML3xRJac

AVIVA PLC

11-Mar-2026

15:05:17

370

627.6000

XLON

xb4ML3xR2VA

AVIVA PLC

11-Mar-2026

15:01:00

189

627.8000

XLON

xb4ML3xRBVh

AVIVA PLC

11-Mar-2026

14:54:31

364

628.0000

XLON

xb4ML3xKy1m

AVIVA PLC

11-Mar-2026

14:46:24

341

626.6000

XLON

xb4ML3xKlbN

AVIVA PLC

11-Mar-2026

14:39:04

341

625.2000

XLON

xb4ML3xKG8U

AVIVA PLC

11-Mar-2026

14:31:27

398

623.6000

XLON

xb4ML3xK1id

AVIVA PLC

11-Mar-2026

14:21:29

26

624.2000

XLON

xb4ML3xLuD3

AVIVA PLC

11-Mar-2026

14:21:26

354

624.4000

XLON

xb4ML3xLuKf

AVIVA PLC

11-Mar-2026

14:12:07

362

625.0000

XLON

xb4ML3xLKJ3

AVIVA PLC

11-Mar-2026

14:05:12

338

625.6000

XLON

xb4ML3xL7Di

AVIVA PLC

11-Mar-2026

14:05:12

39

625.6000

XLON

xb4ML3xL7Dk

AVIVA PLC

11-Mar-2026

14:05:12

39

625.6000

XLON

xb4ML3xL7Dm

AVIVA PLC

11-Mar-2026

14:03:01

108

624.6000

XLON

xb4ML3xL0VG

AVIVA PLC

11-Mar-2026

13:57:58

355

623.6000

XLON

xb4ML3xMmrz

AVIVA PLC

11-Mar-2026

13:50:27

362

624.0000

XLON

xb4ML3xMZCo

AVIVA PLC

11-Mar-2026

13:43:54

332

624.6000

XLON

xb4ML3xMIXM

AVIVA PLC

11-Mar-2026

13:36:44

354

625.0000

XLON

xb4ML3xM5rF

AVIVA PLC

11-Mar-2026

13:30:36

355

624.2000

XLON

xb4ML3xNqsj

AVIVA PLC

11-Mar-2026

13:20:13

351

622.4000

XLON

xb4ML3xNWQi

AVIVA PLC

11-Mar-2026

13:08:11

340

623.0000

XLON

xb4ML3xNVU7

AVIVA PLC

11-Mar-2026

12:54:18

9

621.0000

XLON

xb4ML3xGsAE

AVIVA PLC

11-Mar-2026

12:54:18

367

621.2000

XLON

xb4ML3xGsAQ

AVIVA PLC

11-Mar-2026

12:42:28

343

621.6000

XLON

xb4ML3xGaNr

AVIVA PLC

11-Mar-2026

12:30:37

76

623.4000

XLON

xb4ML3xGJuC

AVIVA PLC

11-Mar-2026

12:30:37

273

623.4000

XLON

xb4ML3xGJuE

AVIVA PLC

11-Mar-2026

12:16:44

368

621.4000

XLON

xb4ML3xGFrP

AVIVA PLC

11-Mar-2026

12:03:01

230

620.4000

XLON

xb4ML3xHxoG

AVIVA PLC

11-Mar-2026

12:03:01

139

620.4000

XLON

xb4ML3xHxoI

AVIVA PLC

11-Mar-2026

11:49:31

68

618.8000

XLON

xb4ML3xHNAr

AVIVA PLC

11-Mar-2026

11:49:31

307

618.8000

XLON

xb4ML3xHNAv

AVIVA PLC

11-Mar-2026

11:35:46

334

618.0000

XLON

xb4ML3xHEvu

AVIVA PLC

11-Mar-2026

11:23:03

355

621.4000

XLON

xb4ML3xIuKP

AVIVA PLC

11-Mar-2026

11:10:46

31

622.2000

XLON

xb4ML3xIJvw

AVIVA PLC

11-Mar-2026

11:10:42

340

622.6000

XLON

xb4ML3xIJ5X

AVIVA PLC

11-Mar-2026

10:58:05

351

621.8000

XLON

xb4ML3xIDXS

AVIVA PLC

11-Mar-2026

10:46:37

327

621.4000

XLON

xb4ML3xJwA1

AVIVA PLC

11-Mar-2026

10:34:29

413

619.6000

XLON

xb4ML3xJN1E

AVIVA PLC

11-Mar-2026

10:18:46

334

618.2000

XLON

xb4ML3xCtf@

AVIVA PLC

11-Mar-2026

10:06:58

342

618.8000

XLON

xb4ML3xClwR

AVIVA PLC

11-Mar-2026

09:55:02

372

619.8000

XLON

xb4ML3xCTOI

AVIVA PLC

11-Mar-2026

09:42:04

451

621.0000

XLON

xb4ML3xCDVo

AVIVA PLC

11-Mar-2026

09:27:21

329

621.4000

XLON

xb4ML3xDuKt

AVIVA PLC

11-Mar-2026

09:14:50

333

621.8000

XLON

xb4ML3xDh@Q

AVIVA PLC

11-Mar-2026

09:05:02

5

624.2000

XLON

xb4ML3xDSlw

AVIVA PLC

11-Mar-2026

09:05:02

374

624.4000

XLON

xb4ML3xDSl5

AVIVA PLC

11-Mar-2026

08:58:39

327

625.4000

XLON

xb4ML3xD2iK

AVIVA PLC

11-Mar-2026

08:49:33

156

623.4000

XLON

xb4ML3xErrL

AVIVA PLC

11-Mar-2026

08:49:33

234

623.4000

XLON

xb4ML3xErrN

AVIVA PLC

11-Mar-2026

08:37:34

332

626.4000

XLON

xb4ML3xEW6J

AVIVA PLC

11-Mar-2026

08:27:43

336

624.2000

XLON

xb4ML3xEIHc

AVIVA PLC

11-Mar-2026

08:17:58

205

625.0000

XLON

xb4ML3xE7Q$

AVIVA PLC

11-Mar-2026

08:17:58

167

625.0000

XLON

xb4ML3xE7Q1

AVIVA PLC

11-Mar-2026

08:08:33

373

622.4000

XLON

xb4ML3xE8mz

AVIVA PLC

11-Mar-2026

08:02:31

596

623.4000

XLON

xb4ML3xF@io

AVIVA PLC

11-Mar-2026

08:02:31

153

623.6000

XLON

xb4ML3xF@iq

AVIVA PLC

11-Mar-2026

08:02:31

697

623.6000

XLON

xb4ML3xF@is

 

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