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Aviva PLC

Transaction in Own Shares Jan 14, 2022

4708_rns_2022-01-14_97d425c6-788d-46d5-8d79-740b64847de7.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 4171Y

Aviva PLC

13 January 2022

Transactions in own shares

Aviva plc (the Company) announces today it has purchased the following number of its ordinary shares of 25 pence each on the London Stock Exchange, Chi X, and Bats Europe from Citigroup Global Markets Limited.

Date of purchase: 13th January 2022
Aggregate number of ordinary shares of 25 pence each purchased: 23,247
Lowest price paid per share (GBp): 429.3000p
Highest price paid per share (GBp): 432.0000p
Average price paid per share (GBp): 431.2135p

The Company will cancel the purchased shares.

These share purchases form part of the Company's existing buy-back programme which is expected to be completed over the period from 13th August 2021 to 17th February 2022, details of which were announced on 12th August 2021.

The table below contains detailed information of the individual trades made by Citigroup Global Markets Limited as part of the buyback programme.

Schedule of Purchases

Shares purchased:        Aviva plc (ISIN: GB0002162385)

Date of purchases:        13th January 2022

Investment firm:            Citigroup Global Markets Limited

Individual transactions:

AVIVA PLC Transaction Date Transaction Time Volume Price (GBp) Trading Venue Transaction Reference Code
AVIVA PLC 13/01/2022 11:35:28 585 432 XLON xy4Ay1Alecy
AVIVA PLC 13/01/2022 11:22:02 593 432 XLON xy4Ay1AlUgr
AVIVA PLC 13/01/2022 10:56:12 580 431.8 XLON xy4Ay1AlBvZ
AVIVA PLC 13/01/2022 10:56:12 1 431.8 XLON xy4Ay1AlBvb
AVIVA PLC 13/01/2022 10:56:12 539 431.9 XLON xy4Ay1AlBvd
AVIVA PLC 13/01/2022 10:53:05 477 431.4 XLON xy4Ay1Al9Tr
AVIVA PLC 13/01/2022 10:48:18 465 431.9 XLON xy4Ay1AerLc
AVIVA PLC 13/01/2022 10:42:55 521 431.7 XLON xy4Ay1Ae@f9
AVIVA PLC 13/01/2022 10:36:52 534 431.5 XLON xy4Ay1AewMj
AVIVA PLC 13/01/2022 10:25:06 128 431.4 XLON xy4Ay1AeZTB
AVIVA PLC 13/01/2022 10:25:06 420 431.4 XLON xy4Ay1AeZTD
AVIVA PLC 13/01/2022 10:25:06 548 431.5 XLON xy4Ay1AeZTG
AVIVA PLC 13/01/2022 10:18:59 408 430.6 XLON xy4Ay1AeiC@
AVIVA PLC 13/01/2022 10:14:44 449 430.5 XLON xy4Ay1AeekQ
AVIVA PLC 13/01/2022 10:10:01 671 430.2 XLON xy4Ay1AeKaL
AVIVA PLC 13/01/2022 10:03:49 710 430.3 XLON xy4Ay1AeGJv
AVIVA PLC 13/01/2022 09:56:10 478 430 XLON xy4Ay1AeRbb
AVIVA PLC 13/01/2022 09:51:35 580 429.8 XLON xy4Ay1Ae6Md
AVIVA PLC 13/01/2022 09:46:06 581 429.9 XLON xy4Ay1Ae3YK
AVIVA PLC 13/01/2022 09:39:49 597 429.9 XLON xy4Ay1AeCEa
AVIVA PLC 13/01/2022 09:33:28 636 429.9 XLON xy4Ay1AfsPL
AVIVA PLC 13/01/2022 09:28:05 610 429.3 XLON xy4Ay1Afmaz
AVIVA PLC 13/01/2022 09:22:03 404 430.2 XLON xy4Ay1AfyCc
AVIVA PLC 13/01/2022 09:17:57 442 431.1 XLON xy4Ay1Afucl
AVIVA PLC 13/01/2022 09:15:04 168 431.5 XLON xy4Ay1AfvSM
AVIVA PLC 13/01/2022 09:15:04 379 431.5 XLON xy4Ay1AfvSO
AVIVA PLC 13/01/2022 09:15:02 539 431.5 XLON xy4Ay1AfvOL
AVIVA PLC 13/01/2022 09:14:09 894 431.5 XLON xy4Ay1AfcBm
AVIVA PLC 13/01/2022 09:14:09 500 431.5 XLON xy4Ay1AfcBo
AVIVA PLC 13/01/2022 09:14:09 850 431.5 XLON xy4Ay1AfcBq
AVIVA PLC 13/01/2022 09:14:09 539 431.5 XLON xy4Ay1AfcB@
AVIVA PLC 13/01/2022 09:11:21 565 431.7 XLON xy4Ay1AfaOy
AVIVA PLC 13/01/2022 09:09:20 506 432 XLON xy4Ay1AfYBQ
AVIVA PLC 13/01/2022 09:09:00 272 432 XLON xy4Ay1AfZbR
AVIVA PLC 13/01/2022 09:09:00 625 432 XLON xy4Ay1AfZbT
AVIVA PLC 13/01/2022 09:03:39 495 432 XLON xy4Ay1AflsS
AVIVA PLC 13/01/2022 09:01:58 157 431.8 XLON xy4Ay1AfiHP
AVIVA PLC 13/01/2022 09:01:58 293 431.8 XLON xy4Ay1AfiHR
AVIVA PLC 13/01/2022 09:01:58 89 431.8 XLON xy4Ay1AfiHT
AVIVA PLC 13/01/2022 09:01:31 167 432 XLON xy4Ay1Afjf8
AVIVA PLC 13/01/2022 09:01:31 437 432 XLON xy4Ay1AfjfA
AVIVA PLC 13/01/2022 08:21:53 441 431.9 XLON xy4Ay1Af94P
AVIVA PLC 13/01/2022 08:21:53 631 432 XLON xy4Ay1Af94R
AVIVA PLC 13/01/2022 08:10:02 454 431.7 XLON xy4Ay1Agwng
AVIVA PLC 13/01/2022 08:04:46 200 430.6 XLON xy4Ay1AgaY3
AVIVA PLC 13/01/2022 08:04:46 500 430.6 XLON xy4Ay1AgaY5
AVIVA PLC 13/01/2022 08:04:46 700 430.7 XLON xy4Ay1AgaYB
AVIVA PLC 13/01/2022 08:01:34 889 432 XLON xy4Ay1AgWJe

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 [email protected] 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

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