10th Oct 2018 10:15
10 OCTOBER 2018
NOTIFICATIONS OF TRANSACTIONS OF DIRECTORS / PERSONS DISCHARGING MANAGERIAL RESPONSIBILITY
1 | Details of the person discharging managerial responsibilities/person closely associated | |||||||||||||
a) | Name | MR ANDREW REYNOLDS SMITH | ||||||||||||
2 | Reason for the notification | |||||||||||||
a) | Position/status | CHIEF EXECUTIVE OFFICER | ||||||||||||
b) | Initial Notification / Amendment | INITIAL NOTIFICATION | ||||||||||||
3 | Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor | |||||||||||||
a) | Name | SMITHS GROUP PLC | ||||||||||||
b) | LEI | 213800MJL6IPZS3ASA11 | ||||||||||||
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 Identification code | ORDINARY SHARES OF 37.5P EACH IN SMITHS GROUP PLC ("ORDINARY SHARES")
ISIN GB00B1WY2338 | ||||||||||||
b) | Nature of the transaction | 1. VESTING OF AN AWARD UNDER THE SMITHS GROUP LONG TERM INCENTIVE PLAN ("LTIP") AND VESTING OF THE FIRST TRANCHE OF A PERFORMANCE SHARE AWARD ("PSA"); AND 2. MARKET SALE OF SHARES TO FINANCE INCOME TAX AND NATIONAL INSURANCE LIABILITIES ARISING ON THE VESTING OF THE AWARDS
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c) | Price(s) and volume(s) |
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d) | Aggregated information - Aggregated volume - Price | Sales: 47,468 at £14.73144 per share
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e) | Date of the transaction | 2018-10-09 | ||||||||||||
f) | Place of the transaction | London Stock Exchange (XLON) |
1
| Details of the person discharging managerial responsibilities / person closely associated
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a) | Name | DAME ANN DOWLING
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2 | Reason for the notification | |||||
a) | Position/status | NON-EXECUTIVE DIRECTOR
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b) | Initial notification /Amendment | INITIAL NOTIFICATION
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3
| Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor
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a) | Name | SMITHS GROUP PLC ("THE COMPANY")
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b) | LEI | 213800MJL6IPZS3ASA11
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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
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a) | Description of the financial instrument, type of instrument
Identification code | ORDINARY SHARES OF 37.5P EACH IN SMITHS GROUP PLC ("ORDINARY SHARES")
GB00B1WY2338
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b)
| Nature of the transaction
| PURCHASE OF ORDINARY SHARES
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c) | Price(s) and volume(s) |
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d)
| Aggregated information - Aggregated volume - Price
| Not applicable
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e) | Date of the transaction | 2018-10-09
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f) | Place of the transaction | London Stock Exchange (XLON)
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Related Shares:
Smiths Group