Top Movers

Transaction in Own Shares

By Sharecast

Date: Tuesday 10 Mar 2026







RNS Number : 9463V
Aviva PLC
10 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:



09 March 2026



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



20,000



Lowest price paid per share (GBp):



609.80p



Highest price paid per share (GBp):



617.20p



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



613.95p



 


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 3,057,697,159 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 (3,057,697,159) 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:        09 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)



613.95



20,000



609.80



617.20



 


Individual transactions:







































































































































































































































































































































































































































































































































Name



Transaction Date



Transaction Time



Volume



Price (GBp)



Trading Venue



Transaction Reference Code



AVIVA PLC



09-Mar-2026



16:05:15



391



612.4000



XLON



xb4MLKVEF3r



AVIVA PLC



09-Mar-2026



16:05:15



561



612.4000



XLON



xb4MLKVEF3z



AVIVA PLC



09-Mar-2026



16:01:37



367



611.4000



XLON



xb4MLKVE9Rn



AVIVA PLC



09-Mar-2026



15:55:15



382



611.6000



XLON



xb4MLKVFzYW



AVIVA PLC



09-Mar-2026



15:47:41



451



612.6000



XLON



xb4MLKVFkEu



AVIVA PLC



09-Mar-2026



15:37:37



343



613.2000



XLON



xb4MLKVFQwG



AVIVA PLC



09-Mar-2026



15:30:32



461



613.4000



XLON



xb4MLKVFDZU



AVIVA PLC



09-Mar-2026



15:21:05



358



612.2000



XLON



xb4MLKV8utw



AVIVA PLC



09-Mar-2026



15:16:29



361



612.2000



XLON



xb4MLKV8kpo



AVIVA PLC



09-Mar-2026



15:09:44



372



611.6000



XLON



xb4MLKV8H4c



AVIVA PLC



09-Mar-2026



15:02:13



382



612.8000



XLON



xb4MLKV83Q@



AVIVA PLC



09-Mar-2026



14:54:03



368



613.4000



XLON



xb4MLKV9@Eo



AVIVA PLC



09-Mar-2026



14:46:09



343



613.4000



XLON



xb4MLKV9jgb



AVIVA PLC



09-Mar-2026



14:38:30



344



612.2000



XLON



xb4MLKV9Rki



AVIVA PLC



09-Mar-2026



14:31:27



348



612.2000



XLON



xb4MLKV9BS6



AVIVA PLC



09-Mar-2026



14:23:06



391



611.8000



XLON



xb4MLKVAcNP



AVIVA PLC



09-Mar-2026



14:13:40



350



609.8000



XLON



xb4MLKVAJun



AVIVA PLC



09-Mar-2026



14:05:49



350



610.4000



XLON



xb4MLKVAF3j



AVIVA PLC



09-Mar-2026



14:01:15



374



611.2000



XLON



xb4MLKVBofw



AVIVA PLC



09-Mar-2026



13:54:25



378



610.8000



XLON



xb4MLKVBaOG



AVIVA PLC



09-Mar-2026



13:47:16



342



612.6000



XLON



xb4MLKVBNEF



AVIVA PLC



09-Mar-2026



13:40:40



352



613.0000



XLON



xb4MLKVB5MZ



AVIVA PLC



09-Mar-2026



13:33:22



334



615.4000



XLON



xb4MLKV4oqX



AVIVA PLC



09-Mar-2026



13:25:43



387



615.0000



XLON



xb4MLKV4Yqm



AVIVA PLC



09-Mar-2026



13:15:55



347



616.2000



XLON



xb4MLKV4Kq9



AVIVA PLC



09-Mar-2026



13:10:32



165



615.6000



XLON



xb4MLKV4TXI



AVIVA PLC



09-Mar-2026



12:55:13



336



613.6000



XLON



xb4MLKV5rmJ



AVIVA PLC



09-Mar-2026



12:44:41



340



615.0000



XLON



xb4MLKV5Y0G



AVIVA PLC



09-Mar-2026



12:33:03



350



616.4000



XLON



xb4MLKV5Hpn



AVIVA PLC



09-Mar-2026



12:18:43



34



615.8000



XLON



xb4MLKV6tji



AVIVA PLC



09-Mar-2026



12:18:38



384



616.0000



XLON



xb4MLKV6txM



AVIVA PLC



09-Mar-2026



12:05:12



372



616.0000



XLON



xb4MLKV6jaW



AVIVA PLC



09-Mar-2026



11:50:07



366



616.6000



XLON



xb4MLKV66JU



AVIVA PLC



09-Mar-2026



11:36:53



392



615.8000



XLON



xb4MLKV7og1



AVIVA PLC



09-Mar-2026



11:22:30



358



614.4000



XLON



xb4MLKV7hZ3



AVIVA PLC



09-Mar-2026



11:09:53



338



616.6000



XLON



xb4MLKV74gs



AVIVA PLC



09-Mar-2026



10:58:23



382



614.6000



XLON



xb4MLKV0oaH



AVIVA PLC



09-Mar-2026



10:46:02



349



613.6000



XLON



xb4MLKV0l4w



AVIVA PLC



09-Mar-2026



10:32:49



332



613.2000



XLON



xb4MLKV0Omq



AVIVA PLC



09-Mar-2026



10:20:18



359



614.6000



XLON



xb4MLKV1rDq



AVIVA PLC



09-Mar-2026



10:07:48



365



616.6000



XLON



xb4MLKV1grV



AVIVA PLC



09-Mar-2026



09:53:07



366



615.2000



XLON



xb4MLKV10X2



AVIVA PLC



09-Mar-2026



09:40:35



342



617.2000



XLON



xb4MLKV2xxv



AVIVA PLC



09-Mar-2026



09:27:53



409



617.2000



XLON



xb4MLKV2QDk



AVIVA PLC



09-Mar-2026



09:13:37



337



613.2000



XLON



xb4MLKV3xcc



AVIVA PLC



09-Mar-2026



09:03:51



49



613.4000



XLON



xb4MLKV3Kl7



AVIVA PLC



09-Mar-2026



09:03:47



375



613.6000



XLON



xb4MLKV3KmW



AVIVA PLC



09-Mar-2026



08:56:27



405



614.0000



XLON



xb4MLKV35dl



AVIVA PLC



09-Mar-2026



08:44:16



337



612.2000



XLON



xb4MLKVyxlp



AVIVA PLC



09-Mar-2026



08:36:52



261



614.2000



XLON



xb4MLKVygkV



AVIVA PLC



09-Mar-2026



08:26:36



343



614.8000



XLON



xb4MLKVy6ox



AVIVA PLC



09-Mar-2026



08:18:32



297



615.2000



XLON



xb4MLKVzr9L



AVIVA PLC



09-Mar-2026



08:13:56



100



615.2000



XLON



xb4MLKVzxQr



AVIVA PLC



09-Mar-2026



08:06:03



343



616.8000



XLON



xb4MLKVzelo



AVIVA PLC



09-Mar-2026



08:01:23



567



616.0000



XLON



xb4MLKVzSmN



AVIVA PLC



09-Mar-2026



08:01:23



810



616.2000



XLON



xb4MLKVzSpO



 






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
 
 
POSFLFSAVLIAIIR

..

Email this article to a friend

or share it with one of these popular networks:


Top of Page