<SEC-DOCUMENT>0001570585-23-000249.txt : 20230616
<SEC-HEADER>0001570585-23-000249.hdr.sgml : 20230616
<ACCEPTANCE-DATETIME>20230616162613
ACCESSION NUMBER:		0001570585-23-000249
CONFORMED SUBMISSION TYPE:	4
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20230614
FILED AS OF DATE:		20230616
DATE AS OF CHANGE:		20230616

REPORTING-OWNER:	

	OWNER DATA:	
		COMPANY CONFORMED NAME:			Green Richard R
		CENTRAL INDEX KEY:			0001452212

	FILING VALUES:
		FORM TYPE:		4
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-35961
		FILM NUMBER:		231021548

	MAIL ADDRESS:	
		STREET 1:		1550 WEWATTA STREET, STE 1000
		CITY:			DENVER
		STATE:			CO
		ZIP:			80202

ISSUER:		

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			Liberty Global plc
		CENTRAL INDEX KEY:			0001570585
		STANDARD INDUSTRIAL CLASSIFICATION:	CABLE & OTHER PAY TELEVISION SERVICES [4841]
		IRS NUMBER:				981112770
		FISCAL YEAR END:			1231

	BUSINESS ADDRESS:	
		STREET 1:		161 HAMMERSMITH ROAD
		CITY:			HAMMERSMITH
		STATE:			X0
		ZIP:			W6 8BS
		BUSINESS PHONE:		303-220-6600

	MAIL ADDRESS:	
		STREET 1:		1550 WEWATTA ST,
		STREET 2:		SUITE 1000
		CITY:			DENVER
		STATE:			CO
		ZIP:			80202

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	Liberty Global Corp Ltd
		DATE OF NAME CHANGE:	20130227

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	Lynx Europe Ltd.
		DATE OF NAME CHANGE:	20130226
</SEC-HEADER>
<DOCUMENT>
<TYPE>4
<SEQUENCE>1
<FILENAME>wk-form4_1686947161.xml
<DESCRIPTION>FORM 4
<TEXT>
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    <periodOfReport>2023-06-14</periodOfReport>

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        <issuerCik>0001570585</issuerCik>
        <issuerName>Liberty Global plc</issuerName>
        <issuerTradingSymbol>LBTY</issuerTradingSymbol>
    </issuer>

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            <rptOwnerCik>0001452212</rptOwnerCik>
            <rptOwnerName>Green Richard R</rptOwnerName>
        </reportingOwnerId>
        <reportingOwnerAddress>
            <rptOwnerStreet1>161 HAMMERSMITH ROAD</rptOwnerStreet1>
            <rptOwnerStreet2></rptOwnerStreet2>
            <rptOwnerCity>LONDON</rptOwnerCity>
            <rptOwnerState>X0</rptOwnerState>
            <rptOwnerZipCode></rptOwnerZipCode>
            <rptOwnerStateDescription>UNITED KINGDOM</rptOwnerStateDescription>
        </reportingOwnerAddress>
        <reportingOwnerRelationship>
            <isDirector>1</isDirector>
            <isOfficer>0</isOfficer>
            <isTenPercentOwner>0</isTenPercentOwner>
            <isOther>0</isOther>
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    </reportingOwner>

    <aff10b5One>0</aff10b5One>

    <nonDerivativeTable>
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            </securityTitle>
            <transactionDate>
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            </transactionDate>
            <transactionCoding>
                <transactionFormType>4</transactionFormType>
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                    <value>D</value>
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        </nonDerivativeTransaction>
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            </underlyingSecurity>
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        </derivativeTransaction>
        <derivativeTransaction>
            <securityTitle>
                <value>Share Option A (right to buy)</value>
            </securityTitle>
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                <value>17.22</value>
            </conversionOrExercisePrice>
            <transactionDate>
                <value>2023-06-14</value>
            </transactionDate>
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                <transactionFormType>4</transactionFormType>
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                <equitySwapInvolved>0</equitySwapInvolved>
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            <transactionAmounts>
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                    <value>9945</value>
                </transactionShares>
                <transactionPricePerShare>
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                    <value>D</value>
                </directOrIndirectOwnership>
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        </derivativeTransaction>
        <derivativeTransaction>
            <securityTitle>
                <value>Share Option C (right to buy)</value>
            </securityTitle>
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                <value>18.23</value>
            </conversionOrExercisePrice>
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        </derivativeTransaction>
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    <footnotes>
        <footnote id="F1">Each Restricted Share Unit represents a right to receive one share of Issuer's Class A ordinary shares or Class C ordinary shares, as the case may be.</footnote>
        <footnote id="F2">The Restricted Share Units vested in full on the date of the Issuer's 2023 annual general meeting of shareholders.</footnote>
        <footnote id="F3">The option vests in three equal annual installments commencing on the date of the Issuer's 2024 annual general meeting of shareholders and on the date of each annual general meeting of shareholders thereafter.</footnote>
    </footnotes>

    <remarks>The trading symbols for the Issuer's classes of ordinary shares are LBTYA, LBTYB, and LBTYK.</remarks>

    <ownerSignature>
        <signatureName>/s/ Cory Smith, Attorney-in-Fact</signatureName>
        <signatureDate>2023-06-16</signatureDate>
    </ownerSignature>
</ownershipDocument>
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</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
