TP ICAP PLC Director/PDMR Shareholding

Data : 06/06/2019 @ 17:08
Fonte : UK Regulatory (RNS & others)
Titolo : Tp Icap Plc (TCAP)
Quotazione : 354.8  -0.6 (-0.17%) @ 17:35
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TP ICAP PLC Director/PDMR Shareholding

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TIDMTCAP

RNS Number : 4369B

TP ICAP PLC

06 June 2019

Notification and public disclosure of transactions by persons discharging managerial responsibilities ('PDMR') or persons closely associated with them

TP ICAP plc (the "Company") hereby notifies the market of the following notifications, relating to the vesting of awards over ordinary shares of the Company (the "Company Shares") under the rules of the TP ICAP plc 2015 Deferred Bonus Plan (the "Plan").

For further enquiries, please contact Richard Cordeschi, Group Company Secretary.

 
 1    Details of the person discharging managerial responsibilities 
       / person closely associated 
 a)   Name                        Robin Stewart 
     --------------------------  --------------------------------------- 
 2    Reason for the notification 
     ------------------------------------------------------------------- 
 a)   Position/status             Director 
     --------------------------  --------------------------------------- 
 b)   Initial notification        Initial 
       /Amendment 
     --------------------------  --------------------------------------- 
 3    Details of the issuer, emission allowance market participant, 
       auction platform, auctioneer or auction monitor 
     ------------------------------------------------------------------- 
 a)   Name                        TP ICAP plc 
     --------------------------  --------------------------------------- 
 b)   LEI                         5493009UWRK48KKUD358 
     --------------------------  --------------------------------------- 
 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,        Ordinary shares of 25p each 
       type of instrument 
                                    GB00B1H0DZ51 
       Identification code 
     --------------------------  --------------------------------------- 
 b)   Nature of the transaction   Transfer of shares to director further 
                                   to the vesting of awards under the 
                                   Plan. 
     --------------------------  --------------------------------------- 
 c)   Price(s) and volume(s)        Price(s)           Volume(s) 
                                     GBP2.774 (value 
                                      at vesting)       6,652 
                                                       ---------- 
     --------------------------  --------------------------------------- 
 d)   Aggregated information 
 
       - Aggregated volume          6,652 
 
 
       - Price                      GBP2.774 
     --------------------------  --------------------------------------- 
 e)   Date of the transaction     06/06/2019 
     --------------------------  --------------------------------------- 
 f)   Place of the transaction    London Stock Exchange 
     --------------------------  --------------------------------------- 
 
 
 1    Details of the person discharging managerial responsibilities 
       / person closely associated 
 a)   Name                        Philip Price 
     --------------------------  --------------------------------------- 
 2    Reason for the notification 
     ------------------------------------------------------------------- 
 a)   Position/status             Director 
     --------------------------  --------------------------------------- 
 b)   Initial notification        Initial 
       /Amendment 
     --------------------------  --------------------------------------- 
 3    Details of the issuer, emission allowance market participant, 
       auction platform, auctioneer or auction monitor 
     ------------------------------------------------------------------- 
 a)   Name                        TP ICAP plc 
     --------------------------  --------------------------------------- 
 b)   LEI                         5493009UWRK48KKUD358 
     --------------------------  --------------------------------------- 
 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,        Ordinary shares of 25p each 
       type of instrument 
                                    GB00B1H0DZ51 
       Identification code 
     --------------------------  --------------------------------------- 
 b)   Nature of the transaction   Transfer of shares to director further 
                                   to the vesting of awards under the 
                                   Plan. 
     --------------------------  --------------------------------------- 
 c)   Price(s) and volume(s)        Price(s)           Volume(s) 
                                     GBP2.774 (value 
                                      at vesting)       22,173 
                                                       ---------- 
     --------------------------  --------------------------------------- 
 d)   Aggregated information 
 
       - Aggregated volume          22,173 
 
 
       - Price                      GBP2.774 
     --------------------------  --------------------------------------- 
 e)   Date of the transaction     06/06/2019 
     --------------------------  --------------------------------------- 
 f)   Place of the transaction    London Stock Exchange 
     --------------------------  --------------------------------------- 
 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

END

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June 06, 2019 11:08 ET (15:08 GMT)

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