Company Announcements

Invesco Bond Income Plus Limited - Director/PDMR Shareholding

Notification and public disclosure of transactions by persons discharging managerial responsibilities and persons closely associated with them

 ____________________________________________________________________________
|1 |Details of the person discharging managerial responsibilities / person   |
|  |closely associated                                                       |
|__|_________________________________________________________________________|
|a)|Name                                    |Caroline Dutot                  |
|__|________________________________________|________________________________|
|2 |Reason for the notification                                              |
|__|_________________________________________________________________________|
|a)|Position/status                         |Non-executive Director          |
|__|________________________________________|________________________________|
|b)|Initial notification / amendment        |Initial Notification            |
|__|________________________________________|________________________________|
|3 |Details of the issuer, emission allowance market participant, auction    |
|  |platform, auctioneer or auction monitor                                  |
|__|_________________________________________________________________________|
|a)|Name                                    |Invesco Bond Income Plus Limited|
|__|________________________________________|________________________________|
|b)|LEI                                     |549300JLX6ELWUZXCX14            |
|__|________________________________________|________________________________|
|  |Details of the transaction(s): section to be repeated for (i) each type  |
|4 |of instrument; (ii) each type of transaction; (iii) each date; and (iv)  |
|  |each place where transactions have been conducted                        |
|__|_________________________________________________________________________|
|  |Description of the financial instrument,|Ordinary Shares of no par value |
|a)|type of instrument                      |                                |
|  |                                        |JE00B6RMDP68                    |
|  |Identification code                     |                                |
|__|________________________________________|________________________________|
|b)|Nature of the transaction               |Purchase of Shares (via Dividend|
|  |                                        |Re-investment Plan)             |
|__|________________________________________|________________________________|
|  |                                        | __________________             |
|  |                                        ||Price(s)|Volume(s)|            |
|c)|Price(s) and volume(s)                  ||________|_________|            |
|  |                                        ||£1.72304|101      |            |
|  |                                        ||________|_________|            |
|__|________________________________________|________________________________|
|  |Aggregated information                  |                                |
|  |                                        |                                |
|d)|- Aggregated volume                     |As c) above                     |
|  |                                        |                                |
|  |- Price                                 |                                |
|__|________________________________________|________________________________|
|e)|Date of the transaction                 |12 March 2026                   |
|__|________________________________________|________________________________|
|f)|Place of the transaction                |London Stock Exchange (XLON)    |
|__|________________________________________|________________________________|


 

Contact:

Claire Brazenall

JTC Fund Solutions (Jersey) Limited

Telephone: 01534 700000

27 March 2026