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Transaction in Own Shares

26th Jun 2026 09:00

RNS Number : 9356J
GCP Infrastructure Investments Ltd
26 June 2026
 

26 June 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

25 June 2026

Number of ordinary shares purchased

303,729

Volume Weighted average price paid (p)

79.11

Highest price paid (p)

79.20

Lowest price paid (p)

78.50

 

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 76,461,899.

The total number of voting rights in the Company, excluding treasury shares as at 25 June 2026 is 808,335,770. 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 59,476,880 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

100,140

79.13

CHIX

8,348

79.20

BATE

7,468

79.20

TRQX

149,743

79.08

AQXE

38,030

79.19

 

Broker

Transaction Date

Time

Volume

Price (GBp)

Trading venue

Transaction reference number

RBC Europe Limited

25/06/2026

09:52:59

144

78.50

XLON

00337050170TRLO1

RBC Europe Limited

25/06/2026

09:53:19

1

78.50

TRQX

00337050205TRLO1

RBC Europe Limited

25/06/2026

11:26:19

3,844

78.60

TRQX

00337061442TRLO1

RBC Europe Limited

25/06/2026

13:18:47

3,282

78.60

TRQX

00337077019TRLO1

RBC Europe Limited

25/06/2026

14:24:54

1,076

78.80

AQXE

00337091850TRLO1

RBC Europe Limited

25/06/2026

14:24:54

3,924

78.80

XLON

00337091859TRLO1

RBC Europe Limited

25/06/2026

15:00:16

56,514

79.10

XLON

00337114288TRLO1

RBC Europe Limited

25/06/2026

15:00:16

10,089

79.10

TRQX

00337114289TRLO1

RBC Europe Limited

25/06/2026

15:00:16

34,185

79.10

TRQX

00337114290TRLO1

RBC Europe Limited

25/06/2026

15:00:16

11,762

79.10

TRQX

00337114291TRLO1

RBC Europe Limited

25/06/2026

15:00:16

27,394

79.10

TRQX

00337114294TRLO1

RBC Europe Limited

25/06/2026

15:00:16

56,514

79.10

TRQX

00337114295TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,772

79.20

TRQX

00337166948TRLO1

RBC Europe Limited

25/06/2026

16:06:19

3,228

79.20

XLON

00337166949TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,076

79.20

AQXE

00337166950TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,076

79.20

BATE

00337166951TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,076

79.20

CHIX

00337166952TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,000

79.20

XLON

00337166953TRLO1

RBC Europe Limited

25/06/2026

16:06:19

772

79.20

XLON

00337166954TRLO1

RBC Europe Limited

25/06/2026

16:06:19

422

79.20

XLON

00337166955TRLO1

RBC Europe Limited

25/06/2026

16:06:19

3,678

79.20

XLON

00337166956TRLO1

RBC Europe Limited

25/06/2026

16:06:19

900

79.20

TRQX

00337166957TRLO1

RBC Europe Limited

25/06/2026

16:06:19

3,228

79.20

XLON

00337166958TRLO1

RBC Europe Limited

25/06/2026

16:06:19

1,076

79.20

AQXE

00337166959TRLO1

RBC Europe Limited

25/06/2026

16:06:24

696

79.20

BATE

00337167046TRLO1

RBC Europe Limited

25/06/2026

16:06:24

3,922

79.20

AQXE

00337167049TRLO1

RBC Europe Limited

25/06/2026

16:06:24

1,078

79.20

AQXE

00337167050TRLO1

RBC Europe Limited

25/06/2026

16:06:24

190

79.20

CHIX

00337167055TRLO1

RBC Europe Limited

25/06/2026

16:06:24

3,696

79.20

XLON

00337167056TRLO1

RBC Europe Limited

25/06/2026

16:06:24

1,114

79.20

XLON

00337167057TRLO1

RBC Europe Limited

25/06/2026

16:06:24

1,076

79.20

AQXE

00337167060TRLO1

RBC Europe Limited

25/06/2026

16:06:24

3,228

79.20

XLON

00337167061TRLO1

RBC Europe Limited

25/06/2026

16:06:30

696

79.20

XLON

00337167141TRLO1

RBC Europe Limited

25/06/2026

16:06:30

3,922

79.20

AQXE

00337167142TRLO1

RBC Europe Limited

25/06/2026

16:06:30

1,078

79.20

AQXE

00337167143TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,016

79.20

AQXE

00337167146TRLO1

RBC Europe Limited

25/06/2026

16:06:31

3,922

79.20

AQXE

00337167147TRLO1

RBC Europe Limited

25/06/2026

16:06:31

62

79.20

XLON

00337167148TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,097

79.20

XLON

00337167149TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,362

79.20

XLON

00337167150TRLO1

RBC Europe Limited

25/06/2026

16:06:31

2,541

79.20

XLON

00337167151TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

AQXE

00337167152TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

CHIX

00337167153TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,772

79.20

BATE

00337167154TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

XLON

00337167155TRLO1

RBC Europe Limited

25/06/2026

16:06:31

3,922

79.20

AQXE

00337167156TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,078

79.20

AQXE

00337167157TRLO1

RBC Europe Limited

25/06/2026

16:06:31

244

79.20

AQXE

00337167158TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,171

79.20

XLON

00337167159TRLO1

RBC Europe Limited

25/06/2026

16:06:31

3,585

79.20

XLON

00337167160TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,702

79.20

CHIX

00337167162TRLO1

RBC Europe Limited

25/06/2026

16:06:31

2,152

79.20

CHIX

00337167163TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,146

79.20

XLON

00337167164TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,772

79.20

AQXE

00337167165TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

XLON

00337167166TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

CHIX

00337167167TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

BATE

00337167168TRLO1

RBC Europe Limited

25/06/2026

16:06:31

3,228

79.20

XLON

00337167170TRLO1

RBC Europe Limited

25/06/2026

16:06:31

1,076

79.20

AQXE

00337167171TRLO1

RBC Europe Limited

25/06/2026

16:06:31

696

79.20

BATE

00337167172TRLO1

RBC Europe Limited

25/06/2026

16:16:29

1,772

79.20

AQXE

00337174749TRLO1

RBC Europe Limited

25/06/2026

16:16:29

1,076

79.20

CHIX

00337174750TRLO1

RBC Europe Limited

25/06/2026

16:16:29

2,152

79.20

XLON

00337174751TRLO1

RBC Europe Limited

25/06/2026

16:16:30

1,076

79.20

AQXE

00337174752TRLO1

RBC Europe Limited

25/06/2026

16:16:55

1

79.20

AQXE

00337175060TRLO1

RBC Europe Limited

25/06/2026

16:19:53

1,133

79.20

AQXE

00337177777TRLO1

RBC Europe Limited

25/06/2026

16:19:53

1,714

79.20

AQXE

00337177778TRLO1

RBC Europe Limited

25/06/2026

16:19:53

1,076

79.20

BATE

00337177779TRLO1

RBC Europe Limited

25/06/2026

16:20:50

1,076

79.20

AQXE

00337178540TRLO1

RBC Europe Limited

25/06/2026

16:20:53

1,076

79.20

BATE

00337178563TRLO1

RBC Europe Limited

25/06/2026

16:20:53

2,848

79.20

AQXE

00337178564TRLO1

 

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

About GCP Infra

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.

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END
 
 
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Related Shares:

GCP Infrastructure Investments
FTSE 100 Latest
Value10,508.02
Change-21.87