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Transaction in Own Shares

17th Apr 2026 17:41

RNS Number : 0055B
GCP Infrastructure Investments Ltd
17 April 2026
 

17 April 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

17 April 2026

Number of ordinary shares purchased

487,927

Volume Weighted average price paid (p)

75.11

Highest price paid (p)

75.80

Lowest price paid (p)

74.60

 

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 61,966,782.

The total number of voting rights in the Company, excluding treasury shares as at 17 April 2026 is 822,830,887. 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 44,981,763 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

327,516

74.99

CHIX

7,712

74.94

BATE

12,666

75.01

TRQX

140,033

75.41

AQXE

-

-

 

Broker

Transaction Date

Time

Volume

Price (GBp)

Trading venue

Transaction reference number

RBC Europe Limited

17/04/2026

10:18:47

12,339

75.80

TRQX

00329344517TRLO0

RBC Europe Limited

17/04/2026

10:18:47

29,183

75.80

TRQX

00329344518TRLO0

RBC Europe Limited

17/04/2026

10:18:49

1,646

75.80

TRQX

00329344523TRLO0

RBC Europe Limited

17/04/2026

10:18:49

2,030

75.80

TRQX

00329344524TRLO0

RBC Europe Limited

17/04/2026

10:18:49

18,277

75.80

TRQX

00329344525TRLO0

RBC Europe Limited

17/04/2026

10:18:52

22,246

75.80

XLON

00329344562TRLO0

RBC Europe Limited

17/04/2026

10:19:01

19,569

75.80

TRQX

00329344578TRLO0

RBC Europe Limited

17/04/2026

10:19:02

1

75.40

BATE

00329344579TRLO0

RBC Europe Limited

17/04/2026

10:41:04

5,614

75.40

BATE

00329347323TRLO0

RBC Europe Limited

17/04/2026

10:41:04

2,586

75.40

CHIX

00329347324TRLO0

RBC Europe Limited

17/04/2026

10:41:04

2,616

75.40

TRQX

00329347325TRLO0

RBC Europe Limited

17/04/2026

10:42:21

2,948

75.00

XLON

00329347529TRLO0

RBC Europe Limited

17/04/2026

11:36:21

2,603

75.00

XLON

00329354931TRLO0

RBC Europe Limited

17/04/2026

11:36:21

2,483

75.00

XLON

00329354932TRLO0

RBC Europe Limited

17/04/2026

11:36:21

2,496

75.00

XLON

00329354933TRLO0

RBC Europe Limited

17/04/2026

11:36:21

2,609

75.00

XLON

00329354934TRLO0

RBC Europe Limited

17/04/2026

11:40:39

2,798

75.00

XLON

00329355345TRLO0

RBC Europe Limited

17/04/2026

11:40:39

2,681

75.00

TRQX

00329355346TRLO0

RBC Europe Limited

17/04/2026

11:46:00

2,516

75.00

TRQX

00329355818TRLO0

RBC Europe Limited

17/04/2026

11:46:00

8,256

75.00

XLON

00329355819TRLO0

RBC Europe Limited

17/04/2026

11:59:12

1,669

74.80

BATE

00329357127TRLO0

RBC Europe Limited

17/04/2026

12:41:24

840

74.80

TRQX

00329361860TRLO0

RBC Europe Limited

17/04/2026

12:41:24

1,921

74.80

TRQX

00329361861TRLO0

RBC Europe Limited

17/04/2026

12:41:24

109

74.80

TRQX

00329361862TRLO0

RBC Europe Limited

17/04/2026

12:41:24

855

74.80

BATE

00329361863TRLO0

RBC Europe Limited

17/04/2026

12:41:24

2,577

74.80

CHIX

00329361864TRLO0

RBC Europe Limited

17/04/2026

12:41:24

2,595

74.80

XLON

00329361865TRLO0

RBC Europe Limited

17/04/2026

12:41:24

2,392

74.80

TRQX

00329361866TRLO0

RBC Europe Limited

17/04/2026

13:44:11

2,497

74.60

BATE

00329372307TRLO0

RBC Europe Limited

17/04/2026

13:44:11

11

74.60

XLON

00329372308TRLO0

RBC Europe Limited

17/04/2026

13:44:11

2,549

74.60

CHIX

00329372309TRLO0

RBC Europe Limited

17/04/2026

13:51:50

4,368

74.80

XLON

00329376643TRLO0

RBC Europe Limited

17/04/2026

14:02:40

22,539

74.80

XLON

00329380787TRLO0

RBC Europe Limited

17/04/2026

14:02:40

2,491

74.80

TRQX

00329380788TRLO0

RBC Europe Limited

17/04/2026

14:02:40

5,116

74.80

XLON

00329380789TRLO0

RBC Europe Limited

17/04/2026

14:02:40

5,039

74.80

TRQX

00329380790TRLO0

RBC Europe Limited

17/04/2026

14:02:40

16,088

74.80

XLON

00329380791TRLO0

RBC Europe Limited

17/04/2026

14:49:13

2,030

74.70

BATE

00329397666TRLO0

RBC Europe Limited

17/04/2026

14:49:13

2,030

74.70

TRQX

00329397667TRLO0

RBC Europe Limited

17/04/2026

14:49:13

2,501

74.70

XLON

00329397668TRLO0

RBC Europe Limited

17/04/2026

14:49:13

2,572

74.70

XLON

00329397669TRLO0

RBC Europe Limited

17/04/2026

14:49:13

2,547

74.70

XLON

00329397670TRLO0

RBC Europe Limited

17/04/2026

14:57:17

872

74.70

TRQX

00329400590TRLO0

RBC Europe Limited

17/04/2026

14:57:17

511

74.70

TRQX

00329400591TRLO0

RBC Europe Limited

17/04/2026

15:10:22

41,522

74.80

XLON

00329405364TRLO0

RBC Europe Limited

17/04/2026

15:10:22

32,192

74.80

TRQX

00329405365TRLO0

RBC Europe Limited

17/04/2026

15:38:09

5,000

75.00

XLON

00329414584TRLO0

RBC Europe Limited

17/04/2026

15:48:59

779

75.00

TRQX

00329418778TRLO0

RBC Europe Limited

17/04/2026

15:48:59

3,294

75.00

XLON

00329418779TRLO0

RBC Europe Limited

17/04/2026

15:57:05

927

75.00

XLON

00329422832TRLO0

RBC Europe Limited

17/04/2026

15:57:10

1,706

75.00

XLON

00329422860TRLO0

RBC Europe Limited

17/04/2026

15:57:13

3,294

75.00

XLON

00329422886TRLO0

RBC Europe Limited

17/04/2026

15:57:19

3,902

75.00

XLON

00329422913TRLO0

RBC Europe Limited

17/04/2026

15:57:37

1,098

75.00

XLON

00329423037TRLO0

RBC Europe Limited

17/04/2026

15:57:48

3,902

75.00

XLON

00329423093TRLO0

RBC Europe Limited

17/04/2026

16:12:47

1,098

75.00

XLON

00329430682TRLO0

RBC Europe Limited

17/04/2026

16:12:56

1,706

75.00

XLON

00329430765TRLO0

RBC Europe Limited

17/04/2026

16:16:09

2,196

75.00

XLON

00329432752TRLO0

RBC Europe Limited

17/04/2026

16:16:09

1,098

75.00

XLON

00329432753TRLO0

RBC Europe Limited

17/04/2026

16:16:09

5,000

75.00

XLON

00329432754TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432757TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432758TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432760TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432761TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432762TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432763TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432764TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432765TRLO0

RBC Europe Limited

17/04/2026

16:16:10

5,000

75.00

XLON

00329432766TRLO0

RBC Europe Limited

17/04/2026

16:16:20

1,706

75.00

XLON

00329432833TRLO0

RBC Europe Limited

17/04/2026

16:16:20

3,294

75.00

XLON

00329432834TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432838TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432839TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432840TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432843TRLO0

RBC Europe Limited

17/04/2026

16:16:20

1,706

75.00

XLON

00329432844TRLO0

RBC Europe Limited

17/04/2026

16:16:20

3,294

75.00

XLON

00329432845TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432846TRLO0

RBC Europe Limited

17/04/2026

16:16:20

5,000

75.00

XLON

00329432848TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432849TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432851TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432852TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432854TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432855TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432857TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432858TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432859TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432860TRLO0

RBC Europe Limited

17/04/2026

16:16:21

5,000

75.00

XLON

00329432863TRLO0

RBC Europe Limited

17/04/2026

16:16:22

5,000

75.00

XLON

00329432877TRLO0

RBC Europe Limited

17/04/2026

16:16:22

5,000

75.00

XLON

00329432878TRLO0

RBC Europe Limited

17/04/2026

16:16:22

1,997

75.00

XLON

00329432879TRLO0

 

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 [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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