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Aviva PLC

Transaction in Own Shares Dec 24, 2021

4708_rns_2021-12-24_b8d799a8-968e-49c4-9537-269208ba45f5.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 6944W

Aviva PLC

24 December 2021

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: 23rd December 2021
Aggregate number of ordinary shares of 25 pence each purchased: 15,181
Lowest price paid per share (GBp): 405.9000p
Highest price paid per share (GBp): 407.0000p
Average price paid per share (GBp): 406.6158p

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:        23rd December 2021

Investment firm:            Citigroup Global Markets Limited

Individual transactions:

AVIVA PLC Transaction Date Transaction Time Volume Price (GBp) Trading Venue Transaction Reference Code
AVIVA PLC 23/12/2021 08:12:31 549 406.6 XLON xb4AvVO7uDd
AVIVA PLC 23/12/2021 08:11:40 621 406.6 XLON xb4AvVO7vbz
AVIVA PLC 23/12/2021 08:10:05 489 406.9 XLON xb4AvVO7vOj
AVIVA PLC 23/12/2021 08:10:05 1050 407 XLON xb4AvVO7vOl
AVIVA PLC 23/12/2021 08:06:13 507 406.7 XLON xb4AvVO7aZ2
AVIVA PLC 23/12/2021 08:06:11 746 406.8 XLON xb4AvVO7ajA
AVIVA PLC 23/12/2021 08:05:31 525 406.8 XLON xb4AvVO7a2y
AVIVA PLC 23/12/2021 08:05:31 287 406.9 XLON xb4AvVO7a25
AVIVA PLC 23/12/2021 08:05:31 462 406.9 XLON xb4AvVO7a27
AVIVA PLC 23/12/2021 08:05:22 211 407 XLON xb4AvVO7aMZ
AVIVA PLC 23/12/2021 08:05:22 1050 407 XLON xb4AvVO7aMb
AVIVA PLC 23/12/2021 08:04:03 823 406.5 XLON xb4AvVO7Yh2
AVIVA PLC 23/12/2021 08:04:03 2 406.6 XLON xb4AvVO7YhC
AVIVA PLC 23/12/2021 08:04:03 330 406.6 XLON xb4AvVO7YhE
AVIVA PLC 23/12/2021 08:04:03 840 406.6 XLON xb4AvVO7YhG
AVIVA PLC 23/12/2021 08:03:00 446 406.5 XLON xb4AvVO7ZWs
AVIVA PLC 23/12/2021 08:03:00 728 406.6 XLON xb4AvVO7ZZ5
AVIVA PLC 23/12/2021 08:03:00 667 406.7 XLON xb4AvVO7ZZI
AVIVA PLC 23/12/2021 08:02:22 43 405.9 XLON xb4AvVO7ZE1
AVIVA PLC 23/12/2021 08:02:20 195 406.2 XLON xb4AvVO7ZBb
AVIVA PLC 23/12/2021 08:02:20 91 406.2 XLON xb4AvVO7ZB$
AVIVA PLC 23/12/2021 08:02:19 182 406.2 XLON xb4AvVO7ZAb
AVIVA PLC 23/12/2021 08:02:19 490 406.2 XLON xb4AvVO7ZAN
AVIVA PLC 23/12/2021 08:02:18 422 406.3 XLON xb4AvVO7ZKX
AVIVA PLC 23/12/2021 08:02:17 328 406.3 XLON xb4AvVO7ZKl
AVIVA PLC 23/12/2021 08:02:17 423 406.3 XLON xb4AvVO7ZKy
AVIVA PLC 23/12/2021 08:02:16 2399 406.4 XLON xb4AvVO7ZKH
AVIVA PLC 23/12/2021 08:02:16 275 406.4 XLON xb4AvVO7ZKJ

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