TIDMSN.

RNS Number : 2256W

Smith & Nephew Plc

16 August 2022

SMITH & NEPHEW PLC

16 August 2022

NOTIFICATION AND PUBLIC DISCLOSURE IN ACCORDANCE WITH THE REQUIREMENTS OF THE EU MARKET ABUSE REGULATION OF TRANSACTIONS BY PERSONS DISCHARGING MANAGERIAL RESPONSIBILITIES AND PERSONS CLOSELY ASSOCIATED WITH THEM.

   1.   VESTING OF SHARE AWARDS UNDER THE GLOBAL SHARE PLAN 2010 AND 2020 

On 15 August 2022, the following awards of US$0.20 ordinary shares (the "Shares") in Smith & Nephew plc (the "Company") vested under the Smith & Nephew Global Share Plan 2010 & 2020.

i. FINAL VESTING ON 15 AUGUST 2022 OF CONDITIONAL SHARE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2010:

The awards were granted under the Global Share Plan 2010 on 15 August 2019. One third of the shares vested on 15 August 2020, a further third vested on 15 August 2021 and the final third vested on 15 August 2022. A number of Shares were sold to cover taxation obligations arising on the vesting of the awards.

The following relates to individual included in the below notification:

 
 Reason for the notification 
 Initial notification        Initial notification 
  /Amendment 
                            ------------------------------------------- 
 Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 Name                        Smith & Nephew plc 
                            ------------------------------------------- 
 LEI                         213800ZTMDN8S67S1H61 
                            ------------------------------------------- 
 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 
 Description of the          Smith & Nephew plc ordinary shares of USD 
  financial instrument,       0.20 each 
  type of instrument 
                            ------------------------------------------- 
 Identification code         ISIN: GB0009223206 
                            ------------------------------------------- 
 Nature of the transaction   Final vesting of a Conditional Share Award 
                              granted on 15 August 2019 under the Smith 
                              & Nephew Global Share Plan 2010. 
                            ------------------------------------------- 
 Date of Transaction         2022 - 08 - 15 
                            ------------------------------------------- 
 Place of Transaction        London Stock Exchange (XLON) 
                            ------------------------------------------- 
 
 
                                                                                                    Total Ordinary 
                                                                                                     Share Holding 
                                                                               Total Ordinary        as a % of 
                                                                                Share Holding        the Company's 
                                                                                following            ISC following 
 Name                              Price                        Aggregated      the transaction      the transaction 
  (Position)             Status     (GBP)      Volume            information    *                    * 
                                               823 (of                         2,425.32487 
                                                which                           ordinary 
 Alison Parkes                                  202 were                        shares (including 
  (Chief Compliance                             sold and        N/A Single      712.66244 
  Officer)             PDMR        10.558686    621 retained)    Transaction    in ADS')            0.00028% 
                      ----------  ----------  ---------------  -------------  -------------------  ----------------- 
 

* including those held by Persons Closely Associated with the Director/PDMR. All figures in these columns are stated to 5 decimal places where applicable.

ii. PARTIAL VESTING ON 15 AUGUST 2022 OF CONDITIONAL SHARE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2020:

The awards were granted under the Global Share Plan 2020 on 13 August 2020. One third of the shares vested on 13 August 2021, a further third vested on 13 August 2022 and the final third will vest on 13 August 2023. A number of Shares were sold to cover taxation obligations arising on the vesting of the awards.

The following relates to individuals included in the below notification:

 
 Reason for the notification 
 Initial notification        Initial notification 
  /Amendment 
                            ------------------------------------------- 
 Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 Name                        Smith & Nephew plc 
                            ------------------------------------------- 
 LEI                         213800ZTMDN8S67S1H61 
                            ------------------------------------------- 
 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 
 Description of the          Smith & Nephew plc ordinary shares of USD 
  financial instrument,       0.20 each 
  type of instrument 
                            ------------------------------------------- 
 Identification code         ISIN: GB0009223206 
                            ------------------------------------------- 
 Nature of the transaction   Partial vesting of a Conditional Share 
                              Award granted on 13 August 2020 under the 
                              Smith & Nephew Global Share Plan 2020. 
                            ------------------------------------------- 
 Date of Transaction         2022 - 08 - 15 
                            ------------------------------------------- 
 Place of Transaction        London Stock Exchange (XLON) 
                            ------------------------------------------- 
 
 
                                                                                                    Total Ordinary 
                                                                                                     Share Holding 
                                                                               Total Ordinary        as a % of 
                                                                                Share Holding        the Company's 
                                                                                following            ISC following 
 Name                              Price                        Aggregated      the transaction      the transaction 
  (Position)             Status     (GBP)      Volume            information    *                    * 
                                               819 (of                         3,044.32487 
                                                which                           ordinary 
 Alison Parkes                                  200 were                        shares (including 
  (Chief Compliance                             sold and        N/A Single      712.66244 
  Officer)             PDMR        10.558686    619 retained)    Transaction    in ADS')            0.00035% 
                      ----------  ----------  ---------------  -------------  -------------------  ----------------- 
 

* including those held by Persons Closely Associated with the Director/PDMR. All figures in these columns are stated to 5 decimal places where applicable.

iii. PARTIAL VESTING ON 15 AUGUST 2022 OF CONDITIONAL SHARE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2020:

The awards were granted under the Global Share Plan 2020 on 13 August 2021. One third of the shares vested on 13 August 2022, a further third will vest on 13 August 2023 and the final third will vest on 13 August 2024. A number of Shares were sold to cover taxation obligations arising on the vesting of the awards.

The following relates to individuals included in the below notification:

 
 Reason for the notification 
 Initial notification        Initial notification 
  /Amendment 
                            ------------------------------------------- 
 Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 Name                        Smith & Nephew plc 
                            ------------------------------------------- 
 LEI                         213800ZTMDN8S67S1H61 
                            ------------------------------------------- 
 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 
 Description of the          Smith & Nephew plc ordinary shares of USD 
  financial instrument,       0.20 each 
  type of instrument 
                            ------------------------------------------- 
 Identification code         ISIN: GB0009223206 
                            ------------------------------------------- 
 Nature of the transaction   Partial vesting of a Conditional Share 
                              Award granted on 13 August 2021 under the 
                              Smith & Nephew Global Share Plan 2020. 
                            ------------------------------------------- 
 Date of Transaction         2022 - 08 - 15 
                            ------------------------------------------- 
 Place of Transaction        London Stock Exchange (XLON) 
                            ------------------------------------------- 
 
 
                                                                                                    Total Ordinary 
                                                                                                     Share Holding 
                                                                               Total Ordinary        as a % of 
                                                                                Share Holding        the Company's 
                                                                                following            ISC following 
 Name                              Price                        Aggregated      the transaction      the transaction 
  (Position)             Status     (GBP)      Volume            information    *                    * 
                                               1,219                           3,965.32487 
                                                (of which                       ordinary 
 Alison Parkes                                  298 were                        shares (including 
  (Chief Compliance                             sold and        N/A Single      712.66244 
  Officer)             PDMR        10.558686    921 retained)    Transaction    in ADS')            0.00045% 
                      ----------  ----------  ---------------  -------------  -------------------  ----------------- 
 

* including those held by Persons Closely Associated with the Director/PDMR. All figures in these columns are stated to 5 decimal places where applicable.

Sarah Carne

Deputy Company Secretary

Smith & Nephew plc

Tel: +44 (0)1923 477100

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END

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August 16, 2022 11:57 ET (15:57 GMT)

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