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 18, 2026, for cancellation, as part of its ongoing buy-back program. The shares were acquired at prices ranging from 646.60 pence to 655.60 pence, with a volume-weighted average price of 651.01 pence. Following the cancellation of these shares, Aviva's total issued ordinary shares will be 3,057,557,159, a figure shareholders can use for regulatory notification calculations.

Disclaimer*

Aviva PLC
19 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:

18 March 2026

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

20,000

Lowest price paid per share (GBp):

646.60p

Highest price paid per share (GBp):

655.60p

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

651.01p

 

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 3,057,557,159 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 (3,057,557,159) 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:        18 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)

651.01

20,000

646.60

655.60

 

Individual transactions:

Name

Transaction Date

Transaction Time

Volume

Price (GBp)

Trading Venue

Transaction Reference Code

AVIVA PLC

18-Mar-2026

16:04:17

356

646.6000

XLON

xy4MMCCq4sj

AVIVA PLC

18-Mar-2026

16:04:17

359

646.6000

XLON

xy4MMCCq4s1

AVIVA PLC

18-Mar-2026

15:40:35

333

649.2000

XLON

xy4MMCCrezt

AVIVA PLC

18-Mar-2026

15:40:35

333

649.4000

XLON

xy4MMCCrezM

AVIVA PLC

18-Mar-2026

15:33:13

354

649.0000

XLON

xy4MMCCrSyq

AVIVA PLC

18-Mar-2026

15:25:45

338

648.8000

XLON

xy4MMCCr0MY

AVIVA PLC

18-Mar-2026

15:09:56

472

650.6000

XLON

xy4MMCCsbtD

AVIVA PLC

18-Mar-2026

15:09:56

472

650.6000

XLON

xy4MMCCsbtI

AVIVA PLC

18-Mar-2026

14:59:59

434

647.6000

XLON

xy4MMCCsG@L

AVIVA PLC

18-Mar-2026

14:59:39

126

647.6000

XLON

xy4MMCCsHW7

AVIVA PLC

18-Mar-2026

14:59:28

799

647.8000

XLON

xy4MMCCsH3X

AVIVA PLC

18-Mar-2026

14:54:31

360

647.0000

XLON

xy4MMCCs6Sp

AVIVA PLC

18-Mar-2026

14:46:29

352

647.2000

XLON

xy4MMCCs8Pj

AVIVA PLC

18-Mar-2026

14:38:28

350

648.0000

XLON

xy4MMCCtxO@

AVIVA PLC

18-Mar-2026

14:31:22

48

647.8000

XLON

xy4MMCCtj8X

AVIVA PLC

18-Mar-2026

14:31:21

379

648.0000

XLON

xy4MMCCtjLy

AVIVA PLC

18-Mar-2026

14:21:09

326

649.2000

XLON

xy4MMCCtROd

AVIVA PLC

18-Mar-2026

14:13:10

338

649.2000

XLON

xy4MMCCtDC2

AVIVA PLC

18-Mar-2026

14:05:53

352

650.6000

XLON

xy4MMCCm$ck

AVIVA PLC

18-Mar-2026

14:01:19

431

650.4000

XLON

xy4MMCCmd1I

AVIVA PLC

18-Mar-2026

13:53:04

390

649.8000

XLON

xy4MMCCmMMJ

AVIVA PLC

18-Mar-2026

13:45:24

8

649.4000

XLON

xy4MMCCmPtT

AVIVA PLC

18-Mar-2026

13:45:20

319

649.6000

XLON

xy4MMCCmP5p

AVIVA PLC

18-Mar-2026

13:45:20

53

649.6000

XLON

xy4MMCCmP5r

AVIVA PLC

18-Mar-2026

13:37:28

348

650.6000

XLON

xy4MMCCm9j0

AVIVA PLC

18-Mar-2026

13:30:37

344

649.8000

XLON

xy4MMCCnwlW

AVIVA PLC

18-Mar-2026

13:23:00

367

648.6000

XLON

xy4MMCCnks9

AVIVA PLC

18-Mar-2026

13:10:07

359

648.6000

XLON

xy4MMCCnTBE

AVIVA PLC

18-Mar-2026

12:57:21

164

650.6000

XLON

xy4MMCCnBCb

AVIVA PLC

18-Mar-2026

12:57:21

192

650.6000

XLON

xy4MMCCnBCZ

AVIVA PLC

18-Mar-2026

12:44:17

346

650.2000

XLON

xy4MMCCov6J

AVIVA PLC

18-Mar-2026

12:32:09

358

651.6000

XLON

xy4MMCCoNMS

AVIVA PLC

18-Mar-2026

12:17:40

378

652.6000

XLON

xy4MMCCo3M2

AVIVA PLC

18-Mar-2026

12:05:25

29

653.0000

XLON

xy4MMCCppAe

AVIVA PLC

18-Mar-2026

12:05:25

331

653.0000

XLON

xy4MMCCppAg

AVIVA PLC

18-Mar-2026

11:52:57

363

654.8000

XLON

xy4MMCCpYLM

AVIVA PLC

18-Mar-2026

11:40:04

197

654.4000

XLON

xy4MMCCpKyj

AVIVA PLC

18-Mar-2026

11:40:04

141

654.4000

XLON

xy4MMCCpKyn

AVIVA PLC

18-Mar-2026

11:26:40

361

655.4000

XLON

xy4MMCCp4at

AVIVA PLC

18-Mar-2026

11:14:54

345

655.6000

XLON

xy4MMCCisqx

AVIVA PLC

18-Mar-2026

11:02:19

340

655.4000

XLON

xy4MMCCixAS

AVIVA PLC

18-Mar-2026

10:50:31

355

654.8000

XLON

xy4MMCCijic

AVIVA PLC

18-Mar-2026

10:40:02

294

655.6000

XLON

xy4MMCCiGTc

AVIVA PLC

18-Mar-2026

10:40:02

80

655.6000

XLON

xy4MMCCiGTe

AVIVA PLC

18-Mar-2026

10:40:02

51

655.6000

XLON

xy4MMCCiGTg

AVIVA PLC

18-Mar-2026

10:22:44

30

654.4000

XLON

xy4MMCCiDlp

AVIVA PLC

18-Mar-2026

10:22:43

357

654.6000

XLON

xy4MMCCiDk4

AVIVA PLC

18-Mar-2026

10:10:11

297

655.6000

XLON

xy4MMCCjyp6

AVIVA PLC

18-Mar-2026

10:10:11

23

655.6000

XLON

xy4MMCCjyp8

AVIVA PLC

18-Mar-2026

09:58:54

343

655.0000

XLON

xy4MMCCjX2x

AVIVA PLC

18-Mar-2026

09:46:10

27

654.2000

XLON

xy4MMCCjGHL

AVIVA PLC

18-Mar-2026

09:46:10

424

654.4000

XLON

xy4MMCCjGHS

AVIVA PLC

18-Mar-2026

09:32:10

348

652.0000

XLON

xy4MMCCj0jg

AVIVA PLC

18-Mar-2026

09:18:55

435

652.6000

XLON

xy4MMCCkpZG

AVIVA PLC

18-Mar-2026

09:05:07

328

653.6000

XLON

xy4MMCCkZlG

AVIVA PLC

18-Mar-2026

08:59:45

414

653.8000

XLON

xy4MMCCkgAg

AVIVA PLC

18-Mar-2026

08:48:52

524

652.8000

XLON

xy4MMCCkTji

AVIVA PLC

18-Mar-2026

08:32:31

423

650.8000

XLON

xy4MMCClsg4

AVIVA PLC

18-Mar-2026

08:18:49

383

652.2000

XLON

xy4MMCClaoK

AVIVA PLC

18-Mar-2026

08:02:10

16

650.2000

XLON

xy4MMCClJyg

AVIVA PLC

18-Mar-2026

08:02:10

472

650.2000

XLON

xy4MMCClJyi

AVIVA PLC

18-Mar-2026

08:02:10

548

650.4000

XLON

xy4MMCClJyt

AVIVA PLC

18-Mar-2026

08:02:10

783

650.6000

XLON

xy4MMCClJyx

 

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Companies

Aviva (AV.)
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