Transaction in Own Shares

Summary by AI BETAClose X

GCP Infrastructure Investments Limited has purchased 519,789 ordinary shares at a volume-weighted average price of 74.42 pence as part of its ongoing share buyback program. Following this transaction, the company has 884,797,669 ordinary shares in issue, with 55,911,304 held in treasury, resulting in 828,886,365 voting rights. Since the program's inception on December 12, 2024, a total of 38,926,285 shares have been repurchased.

Disclaimer*

GCP Infrastructure Investments Ltd
20 March 2026
 

20 March 2026

GCP Infrastructure Investments Limited

(the "Company" or "GCP Infra")

LEI: 213800W64MNATSIV5Z47

Transaction in own shares

GCP Infrastructure Investments Limited ("Company") announces that, in accordance with the terms of its share buyback programme (the "Programme") announced on 12 December 2024, it has purchased the following number of its ordinary shares of 1 pence each ("Ordinary Shares") through RBC Europe Limited.

Date of Purchase

20 March 2026

Number of ordinary shares purchased

519,789

Volume Weighted average price paid (p)

74.42

Highest price paid (p)

74.80

Lowest price paid (p)

74.30

 

Following the above transaction, the Company will have 884,797,669 Ordinary Shares in issue (including treasury shares). The total number of Ordinary Shares held in treasury is 55,911,304.

The total number of voting rights in the Company, excluding treasury shares as at 20 March 2026 is 828,886,365. This figure may be used by shareholders (and others with notification obligations) 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, Company or its Group under the FCA's Disclosure and Transparency Rules.

Since the announcement of the Programme on 12 December 2024, the Company has purchased 38,926,285 Ordinary Shares in aggregate for treasury.

For further information, please contact:

Gravis Capital Management Limited

Philip Kent

Robyn MacHugh

Cameron Gardner

 

+44 (0)20 3405 8500

RBC Europe Limited

Matthew Coakes

Elizabeth Evans

 

+44 (0)20 7653 4000

Canaccord Genuity Limited

Edward Gibson-Watt

Stuart Andrews

Elizabeth Halley-Stott

 

+44 (0)20 7523 8000

Burson Buchanan

Helen Tarbet

Nick Croysdill

Henry Wilson

+44 (0)20 7466 5000


In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), a breakdown of the individual trades made by RBC Europe Limited on behalf of the Company as part of the Programme is detailed below:

 

Platform

Daily total volume
(shares)

Daily weighted average price of shares acquired (GBp)

XLON

415,238

74.41

CHIX

21,186

74.62

BATE

4,801

74.40

TRQX

38,195

74.43

AQXE

40,369

74.40

 

 

Broker

Transaction Date

Time

Volume

Price (GBp)

Trading venue

Transaction reference number

RBC Europe Limited

20/03/2026

08:43:56

3,935

74.80

XLON

00326335226TRLO0

RBC Europe Limited

20/03/2026

08:43:56

2,753

74.80

TRQX

00326335227TRLO0

RBC Europe Limited

20/03/2026

08:43:56

15,841

74.70

CHIX

00326335228TRLO0

RBC Europe Limited

20/03/2026

08:43:56

4,159

74.70

XLON

00326335229TRLO0

RBC Europe Limited

20/03/2026

08:43:56

651

74.70

XLON

00326335230TRLO0

RBC Europe Limited

20/03/2026

08:43:56

1,818

74.70

XLON

00326335231TRLO0

RBC Europe Limited

20/03/2026

08:43:56

14,194

74.70

XLON

00326335232TRLO0

RBC Europe Limited

20/03/2026

08:43:56

3,892

74.70

XLON

00326335233TRLO0

RBC Europe Limited

20/03/2026

10:15:32

3,093

74.50

XLON

00326344446TRLO0

RBC Europe Limited

20/03/2026

11:34:13

2,257

74.30

XLON

00326353406TRLO0

RBC Europe Limited

20/03/2026

11:46:34

1,687

74.40

XLON

00326354766TRLO0

RBC Europe Limited

20/03/2026

11:46:34

2,556

74.40

XLON

00326354767TRLO0

RBC Europe Limited

20/03/2026

13:03:00

2,932

74.40

XLON

00326364321TRLO0

RBC Europe Limited

20/03/2026

13:03:00

2,623

74.40

XLON

00326364322TRLO0

RBC Europe Limited

20/03/2026

13:03:00

2,622

74.40

XLON

00326364323TRLO0

RBC Europe Limited

20/03/2026

13:03:00

757

74.40

XLON

00326364324TRLO0

RBC Europe Limited

20/03/2026

13:03:00

2,573

74.40

XLON

00326364325TRLO0

RBC Europe Limited

20/03/2026

13:03:00

2,598

74.40

XLON

00326364326TRLO0

RBC Europe Limited

20/03/2026

13:03:00

3

74.40

XLON

00326364327TRLO0

RBC Europe Limited

20/03/2026

14:08:42

2,279

74.40

TRQX

00326383735TRLO0

RBC Europe Limited

20/03/2026

14:08:42

1,173

74.40

TRQX

00326383736TRLO0

RBC Europe Limited

20/03/2026

14:08:42

4,629

74.40

TRQX

00326383737TRLO0

RBC Europe Limited

20/03/2026

14:08:42

11,044

74.40

XLON

00326383738TRLO0

RBC Europe Limited

20/03/2026

14:08:42

2,576

74.40

XLON

00326383739TRLO0

RBC Europe Limited

20/03/2026

14:08:42

2,631

74.40

XLON

00326383740TRLO0

RBC Europe Limited

20/03/2026

14:08:42

2,602

74.40

XLON

00326383743TRLO0

RBC Europe Limited

20/03/2026

14:08:42

2,582

74.40

XLON

00326383744TRLO0

RBC Europe Limited

20/03/2026

14:08:42

4,997

74.40

XLON

00326383750TRLO0

RBC Europe Limited

20/03/2026

14:08:46

10,835

74.40

AQXE

00326383788TRLO0

RBC Europe Limited

20/03/2026

14:08:46

8,340

74.40

TRQX

00326383789TRLO0

RBC Europe Limited

20/03/2026

14:08:46

30,580

74.40

XLON

00326383790TRLO0

RBC Europe Limited

20/03/2026

14:08:46

2,256

74.40

AQXE

00326383791TRLO0

RBC Europe Limited

20/03/2026

14:08:46

2,744

74.40

XLON

00326383792TRLO0

RBC Europe Limited

20/03/2026

14:08:47

5

74.40

AQXE

00326383793TRLO0

RBC Europe Limited

20/03/2026

14:08:47

480

74.40

AQXE

00326383794TRLO0

RBC Europe Limited

20/03/2026

14:12:08

3,018

74.40

AQXE

00326385447TRLO0

RBC Europe Limited

20/03/2026

14:12:08

523

74.40

TRQX

00326385448TRLO0

RBC Europe Limited

20/03/2026

14:12:08

5,293

74.40

XLON

00326385449TRLO0

RBC Europe Limited

20/03/2026

14:12:08

743

74.40

XLON

00326385450TRLO0

RBC Europe Limited

20/03/2026

14:12:08

1,771

74.40

AQXE

00326385451TRLO0

RBC Europe Limited

20/03/2026

14:12:08

2,744

74.40

XLON

00326385452TRLO0

RBC Europe Limited

20/03/2026

14:12:08

500

74.40

AQXE

00326385456TRLO0

RBC Europe Limited

20/03/2026

14:14:36

3,062

74.40

XLON

00326386470TRLO0

RBC Europe Limited

20/03/2026

14:14:36

1,756

74.40

AQXE

00326386471TRLO0

RBC Europe Limited

20/03/2026

14:14:36

2,744

74.40

XLON

00326386472TRLO0

RBC Europe Limited

20/03/2026

14:14:36

5,000

74.30

XLON

00326386473TRLO0

RBC Europe Limited

20/03/2026

14:14:36

5,000

74.30

XLON

00326386474TRLO0

RBC Europe Limited

20/03/2026

14:14:36

5,000

74.30

XLON

00326386475TRLO0

RBC Europe Limited

20/03/2026

14:14:36

5,000

74.30

XLON

00326386476TRLO0

RBC Europe Limited

20/03/2026

14:14:36

5,000

74.30

XLON

00326386477TRLO0

RBC Europe Limited

20/03/2026

14:14:37

5,000

74.40

XLON

00326386481TRLO0

RBC Europe Limited

20/03/2026

14:14:37

5,000

74.30

XLON

00326386480TRLO0

RBC Europe Limited

20/03/2026

14:21:00

2,523

74.40

XLON

00326388621TRLO0

RBC Europe Limited

20/03/2026

14:21:00

71

74.40

XLON

00326388622TRLO0

RBC Europe Limited

20/03/2026

14:21:00

5,000

74.40

XLON

00326388623TRLO0

RBC Europe Limited

20/03/2026

14:21:00

2,256

74.40

AQXE

00326388624TRLO0

RBC Europe Limited

20/03/2026

14:22:49

2,342

74.40

AQXE

00326389088TRLO0

RBC Europe Limited

20/03/2026

14:54:42

5

74.40

AQXE

00326403760TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,703

74.40

XLON

00326404276TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,670

74.40

XLON

00326404277TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,568

74.40

XLON

00326404278TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,624

74.40

XLON

00326404279TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,585

74.40

XLON

00326404280TRLO0

RBC Europe Limited

20/03/2026

14:55:32

397

74.40

AQXE

00326404281TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,307

74.40

XLON

00326404282TRLO0

RBC Europe Limited

20/03/2026

14:55:32

1,128

74.40

CHIX

00326404283TRLO0

RBC Europe Limited

20/03/2026

14:55:32

1,565

74.40

XLON

00326404284TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,744

74.40

AQXE

00326404285TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,256

74.40

XLON

00326404286TRLO0

RBC Europe Limited

20/03/2026

14:55:32

1,128

74.40

AQXE

00326404288TRLO0

RBC Europe Limited

20/03/2026

14:55:32

1,128

74.40

CHIX

00326404289TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,744

74.40

XLON

00326404290TRLO0

RBC Europe Limited

20/03/2026

14:55:32

2,744

74.40

XLON

00326404291TRLO0

RBC Europe Limited

20/03/2026

14:55:32

694

74.40

TRQX

00326404292TRLO0

RBC Europe Limited

20/03/2026

14:55:39

10,324

74.40

XLON

00326404346TRLO0

RBC Europe Limited

20/03/2026

14:55:39

9,218

74.40

TRQX

00326404347TRLO0

RBC Europe Limited

20/03/2026

14:55:39

1,562

74.40

XLON

00326404348TRLO0

RBC Europe Limited

20/03/2026

14:55:39

2,256

74.40

AQXE

00326404349TRLO0

RBC Europe Limited

20/03/2026

14:55:44

2,744

74.40

AQXE

00326404358TRLO0

RBC Europe Limited

20/03/2026

14:55:44

3,939

74.40

XLON

00326404359TRLO0

RBC Europe Limited

20/03/2026

14:57:24

5,612

74.40

TRQX

00326405315TRLO0

RBC Europe Limited

20/03/2026

14:57:24

5,706

74.40

XLON

00326405316TRLO0

RBC Europe Limited

20/03/2026

14:57:24

1,061

74.40

XLON

00326405317TRLO0

RBC Europe Limited

20/03/2026

14:57:25

2,469

74.40

XLON

00326405319TRLO0

RBC Europe Limited

20/03/2026

14:57:25

1,381

74.40

XLON

00326405321TRLO0

RBC Europe Limited

20/03/2026

14:57:25

1,150

74.40

XLON

00326405322TRLO0

RBC Europe Limited

20/03/2026

14:57:25

5,000

74.40

XLON

00326405323TRLO0

RBC Europe Limited

20/03/2026

14:57:25

5,000

74.40

XLON

00326405325TRLO0

RBC Europe Limited

20/03/2026

14:57:25

2,885

74.40

XLON

00326405328TRLO0

RBC Europe Limited

20/03/2026

14:57:27

1,474

74.40

XLON

00326405360TRLO0

RBC Europe Limited

20/03/2026

14:57:27

641

74.40

XLON

00326405361TRLO0

RBC Europe Limited

20/03/2026

14:57:27

1,659

74.40

AQXE

00326405362TRLO0

RBC Europe Limited

20/03/2026

14:58:33

48

74.40

XLON

00326405876TRLO0

RBC Europe Limited

20/03/2026

14:58:33

2,744

74.40

XLON

00326405877TRLO0

RBC Europe Limited

20/03/2026

15:03:23

541

74.40

XLON

00326409030TRLO0

RBC Europe Limited

20/03/2026

15:09:17

1,795

74.40

XLON

00326412291TRLO0

RBC Europe Limited

20/03/2026

15:15:18

166

74.40

XLON

00326415145TRLO0

RBC Europe Limited

20/03/2026

15:15:18

571

74.40

XLON

00326415146TRLO0

RBC Europe Limited

20/03/2026

15:35:56

2,602

74.40

XLON

00326426449TRLO0

RBC Europe Limited

20/03/2026

15:35:56

2,617

74.40

XLON

00326426450TRLO0

RBC Europe Limited

20/03/2026

15:35:56

2,615

74.40

XLON

00326426451TRLO0

RBC Europe Limited

20/03/2026

15:35:56

2,555

74.40

XLON

00326426452TRLO0

RBC Europe Limited

20/03/2026

15:35:56

2,644

74.40

XLON

00326426453TRLO0

RBC Europe Limited

20/03/2026

15:35:56

26

74.40

XLON

00326426454TRLO0

RBC Europe Limited

20/03/2026

15:35:58

2,248

74.40

TRQX

00326426467TRLO0

RBC Europe Limited

20/03/2026

15:35:58

2,021

74.40

XLON

00326426468TRLO0

RBC Europe Limited

20/03/2026

15:37:06

5

74.40

AQXE

00326426953TRLO0

RBC Europe Limited

20/03/2026

16:01:34

6,125

74.40

XLON

00326439637TRLO0

RBC Europe Limited

20/03/2026

16:01:34

723

74.40

XLON

00326439638TRLO0

RBC Europe Limited

20/03/2026

16:19:44

53

74.40

XLON

00326449494TRLO0

RBC Europe Limited

20/03/2026

16:19:44

3,089

74.40

CHIX

00326449495TRLO0

RBC Europe Limited

20/03/2026

16:19:44

2,720

74.40

XLON

00326449496TRLO0

RBC Europe Limited

20/03/2026

16:19:44

3,089

74.40

AQXE

00326449497TRLO0

RBC Europe Limited

20/03/2026

16:19:44

2,677

74.40

XLON

00326449498TRLO0

RBC Europe Limited

20/03/2026

16:19:44

2,662

74.40

XLON

00326449499TRLO0

RBC Europe Limited

20/03/2026

16:19:44

2,624

74.40

XLON

00326449500TRLO0

RBC Europe Limited

20/03/2026

16:19:44

726

74.40

TRQX

00326449501TRLO0

RBC Europe Limited

20/03/2026

16:19:44

1,123

74.40

AQXE

00326449502TRLO0

RBC Europe Limited

20/03/2026

16:19:44

1,128

74.40

XLON

00326449503TRLO0

RBC Europe Limited

20/03/2026

16:19:44

5,000

74.40

XLON

00326449504TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449505TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449512TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449513TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449514TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449515TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449516TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449517TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449518TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449522TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449524TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449525TRLO0

RBC Europe Limited

20/03/2026

16:19:45

5,000

74.40

XLON

00326449526TRLO0

RBC Europe Limited

20/03/2026

16:19:46

5,000

74.40

XLON

00326449528TRLO0

RBC Europe Limited

20/03/2026

16:19:46

789

74.40

XLON

00326449529TRLO0

RBC Europe Limited

20/03/2026

16:26:11

4,801

74.40

BATE

00326454122TRLO0

RBC Europe Limited

20/03/2026

16:26:11

13,400

74.40

XLON

00326454123TRLO0

RBC Europe Limited

20/03/2026

16:26:11

6,334

74.40

XLON

00326454124TRLO0

RBC Europe Limited

20/03/2026

16:26:11

1,364

74.40

XLON

00326454125TRLO0

RBC Europe Limited

20/03/2026

16:26:11

47,050

74.40

XLON

00326454126TRLO0

 

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

 

Notes to Editors

GCP Infra is a closed-ended investment company and FTSE-250 constituent whose shares are traded on the main market of the London Stock Exchange. Its objective is to provide shareholders with regular, sustained, long-term distributions and to preserve capital over the long term by generating exposure to UK infrastructure debt and related and/or similar assets.

The Company primarily targets investments in infrastructure projects with long term, public sector-backed, availability-based revenues. Where possible, investments are structured to benefit from partial inflation protection. GCP Infra is advised by Gravis Capital Management Limited.

GCP Infra has been awarded with the London Stock Exchange's Green Economy Mark in recognition of its contribution to positive environmental outcomes.

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
UK 100

Latest directors dealings