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REG - Aviva PLC - Director/PDMR Shareholding

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RNS Number : 0240L  Aviva PLC  02 June 2025

 

 

 

 

02 June 2025

 

Notification of Transactions of Directors and Persons Discharging Managerial
Responsibilities (PDMRs)

 

Aviva announces that the share interests of the under-noted PDMRs have
increased following the reinvestment of dividends in respect of Ordinary
shares as stated below. The transactions were made in London on 28 May 2025.

 

 Name             Nominee/Trustee                                     Share price  No of shares
 Charlotte Jones  Nominee Account                                     £6.234638    8,051

 Jason Storah     Nominee Account                                     £6.234638    19,061

                  Aviva Global Matching Share Plan                    £6.188226    69

 Mark Versey      Nominee Account                                     £6.234638    6,531

                  Aviva All Employee Share Ownership Plan (AESOP)     £6.188226    315

 Pippa Lambert    Aviva Non-Executive Director Share Purchase Scheme  £6.234638    715

 James Hillman    Nominee Account                                     £6.234638    1,906

                  Aviva All Employee Share Ownership Plan (AESOP)     £6.188226    28

 Douglas Brown    Aviva All Employee Share Ownership Plan (AESOP)     £6.188226    114

 Tracy Garrad     Nominee Account                                     £6.234638    108

                  Aviva Global Matching Share Plan                    £6.188226    4

 

This announcement is made in accordance with Article 19 of the EU Market Abuse
Regulation 596/2014 (as incorporated into UK domestic law by the European
Union (Withdrawal) Act 2018).

 

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Charlotte Jones
 2   Reason for the notification
 a)  Position/status                                              Group Chief Financial Officer
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        Dividend re-investment in nominee account
 c)  Price(s) and volume(s)                                       Price(s)                   Volume(s)
                                                                  £6.234638                  8,051
 d)  Aggregate information                                        Price(s)                   Aggregate volume(s)
                                                                  £6.234638                  8,051
 e)  Date of the transaction                                      2025-05-28
 f)  Place of the transaction                                     London Stock Exchange, XLON

 

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Jason Storah
 2   Reason for the notification
 a)  Position/status                                              CEO of UK & Ireland General Insurance
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        1.    Dividend re-investment in nominee account

                                                                  2.    Dividend re-investment under Global Matching Share Plan
 c)  Price(s) and volume(s)                                       Price(s)                           Volume(s)
                                                                  1.  £6.234638                      1. 19,061

                                                                  2. £6.188226                       2. 69

 d)  Aggregate information                                        Price(s)                           Aggregate volume(s)
                                                                  1.  £6.234638                      1. 19,061

                                                                  2. £6.188226                       2. 69

 e)  Date of the transaction                                      1.   2025-05-28

                                                                  2.   2025-05-28
 f)  Place of the transaction                                     1.   London Stock Exchange, XLON

                                                                  2.   London Stock Exchange, XLON

 

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Mark Versey
 2   Reason for the notification
 a)  Position/status                                              CEO of Aviva Investors
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        1.    Dividend re-investment in nominee account

                                                                  2.    Dividend re-investment under Aviva All Employee Share Ownership Plan
                                                                  (AESOP)
 c)  Price(s) and volume(s)                                       Price(s)                                  Volume(s)
                                                                  1.    £6.234638                           1.    6,531

                                                                  2.    £6.188226                           2.    315

 d)  Aggregated information                                       Price(s)                                  Aggregate volume(s)
                                                                  1.    £6.234638                           1.    6,531

                                                                  2.    £6.188226                           2.    315
 e)  Date of the transaction                                      1.    2025-05-28

                                                                  2.    2025-05-28
 f)  Place of the transaction                                     1.    London Stock Exchange, XLON

                                                                  2.    London Stock Exchange, XLON

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Pippa Lambert
 2   Reason for the notification
 a)  Position/status                                              Non-Executive Director
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        Dividend re-investment under Aviva Non-Executive Director Share Purchase
                                                                  Scheme
 c)  Price(s) and volume(s)                                       Price(s)                               Volume(s)
                                                                  £6.234638                              715
 d)  Aggregated information                                       Price(s)                               Aggregate volume(s)
                                                                  £6.234638                              715
 e)  Date of the transaction                                      2025-05-28
 f)  Place of the transaction                                     London Stock Exchange, XLON

 

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         James Hillman
 2   Reason for the notification
 a)  Position/status                                              Group Chief Risk Officer
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        1.    Dividend re-investment in nominee account

                                                                  2.    Dividend re-investment under Aviva All Employee Share Ownership Plan
                                                                  (AESOP)
 c)  Price(s) and volume(s)                                       Price(s)                                  Volume(s)
                                                                  1.    £6.234638                           1.    1,906

                                                                  2.    £6.188226                           2.    28
 d)  Aggregated information                                       Price(s)                                  Aggregate volume(s)
                                                                  1.    £6.234638                           1.    1,906

                                                                  2.    £6.188226                           2.    28

 e)  Date of the transaction                                      1.    2025-05-28

                                                                  2.    2025-05-28
 f)  Place of the transaction                                     London Stock Exchange, XLON

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Douglas Brown
 2   Reason for the notification
 a)  Position/status                                              CEO of Insurance, Wealth & Retirement
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        Dividend re-investment under Aviva All Employee Share Ownership Plan (AESOP)
 c)  Price(s) and volume(s)                                       Price(s)                                 Volume(s)
                                                                  £6.188226                                114

 d)  Aggregated information                                       Price(s)                                 Aggregate volume(s)
                                                                  £6.188226                                114

 e)  Date of the transaction                                      2025-05-28
 f)  Place of the transaction                                     London Stock Exchange, XLON

 

 1   Details of the person discharging managerial responsibilities
 a)  Name                                                         Tracy Garrad
 2   Reason for the notification
 a)  Position/status                                              CEO of Canada General Insurance
 b)  Initial notification/Amendment                               Initial notification
 3   Details of the issuer
 a)  Name                                                         Aviva plc
 b)  LEI                                                          YF0Y5B0IB8SM0ZFG9G81
 4   Details of the transaction(s): section to be repeated for (i) each type of
     instrument; (ii) each type of transaction; (iii) each date; and (iv) each
     place where transactions have been conducted
 a)  Description of the financial instrument, type of instrument  Shares

     Identification code

                                                                  GB00BPQY8M80
 b)  Nature of transaction                                        1.    Dividend re-investment in nominee account

                                                                  2.    Dividend re-investment under Global Matching Share Plan
 c)  Price(s) and volume(s)                                       Price(s)                           Volume(s)
                                                                  1.    £6.234638                    1.    108

                                                                  2.    £6.188226                    2.    4
 d)  Aggregated information                                       Price(s)                           Aggregate volume(s)
                                                                  1.    £6.234638                    1.    108

                                                                  2.    £6.188226                    2.    4

 e)  Date of the transaction                                      1.    2025-05-28

                                                                  2.    2025-05-28
 f)  Place of the transaction                                     1.    London Stock Exchange, XLON

                                                                  2.    London Stock Exchange, XLON

 

-ends-

 

 

Enquiries:

 

Media:

 

Andrew Reid
 
   +44 (0)7800 694 276

Sarah Swailes
 
    +44 (0)7800 694 859

 

Analysts:

 

Greg
Neilson
             +44 (0)7800 694 564

Joel von
Sternberg
+44 (0)7384 231 238

Michael O'Hara
 
 +44 (0)7387 234 388

 

 

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