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Director/PDMR Shareholding

30 Apr 2019 14:59

RNS Number : 5519X
SSP Group PLC
30 April 2019
 

FOR IMMEDIATE RELEASE LEI: 213800QGNIWTXFMENJ24

 

 30 April 2019

SSP Group plc

(the "Company")

 

Notification of transaction by Persons Discharging Managerial Responsibility ("PDMR") 

 

Any dividends declared on Matching Shares or Partnership Shares held under the Company's UK Share Incentive Plan, or dividends declared on shares held in a Computershare Share Plan Account are reinvested to purchase ordinary shares of 1 17/200 pence each in the capital of the Company (referred to as "SIP Dividend Shares" or "SPA Dividend Shares" as applicable).

 

The Company has been notified that the persons set out in the table below, each being a Person Discharging Managerial Responsibility (a "PDMR"), purchased SIP Dividend Shares and/or SPA Dividend Shares on the dates and at the prices set out below.

 

Name

Position

SIP Dividend Shares

SPA Dividend Shares*

Kate Swann

Chief Executive Officer

120

-

Jonathan Davies

Chief Financial Officer

121

-

Mark Angela

CEO - Asia Pacific

121

4,615.020817

Simon Smith

CEO - UK & Ireland

73

25.586458

Nicholas Inkster

CEO - Nordics and Spain

-

0.516015

Michael Svagdis

CEO - North America

-

5,541.456648

 

*Includes a fractional entitlement to shares in accordance with the terms of the Computershare Share Plan Account

 

This announcement, including the notifications below, is made in accordance with the requirements of Article 19(3) of the Market Abuse Regulation (EU) No 596/2014.

 

1

Details of the person discharging managerial responsibility

a)

Name

1. Kate Swann

2. Jonathan Davies

3. Mark Angela

4. Simon Smith

5. Nicholas Inkster

6. Michael Svagdis

2

Reason for the notification

a)

Position/status

1. Chief Executive Officer

2. Chief Financial Officer

3. CEO - Asia Pacific

4. CEO - UK & Ireland

5. CEO - Nordics and Spain

6. CEO - North America

b)

Initial notification/amendment

Initial notification

3

Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor

a)

Full name of the entity

SSP Group plc

b)

Legal Entity Identifier Code

213800QGNIWTXFMENJ24

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

Ordinary Shares of 1 17/200 pence each

b)

Identification Code

GB00BGBN7C04

c)

Nature of the transaction

Purchase of SIP Dividend Shares under the UK Share Incentive Plan.

Purchase of SPA Dividend Shares under the Computershare Share Plan Account (including fractional entitlement as shown)

d)

Currency

GBP - British Pound

e)

Price(s) and Volume(s)

SIP Dividend Shares

Price(s) per share

Volume(s)

1. £7.1335

2. £7.1335

3. £7.1335

4. £7.1335

5. -

6. -

 

1. 120

2. 121

3. 121

4. 73

5. -

6. -

SPA Dividend Shares

Price(s) per share

Volume(s)

1. -

2. -

3. £7.1335

4. £7.1335

5. £7.1335

6. £7.1335

 

1. -

2. -

3. 4,615.020817

4. 25.586458

5. 0.516015

6. 5,541.456648

 

f)

Aggregated Information

- Price

- Volume

- Total Price

SIP Dividend Shares

Price(s) per share

Aggregate Volume(s)

Aggregate Price

1. £7.1335

2. £7.1335

3. £7.1335

4. £7.1335

5. -

6. -

 

 

1. 120

2. 121

3. 121

4. 73

5. -

6. -

 

1. £856.02

2. £863.16

3. £863.16

4. £520.75

5. -

6. -

 

 

SPA Dividend Shares

Price(s) per share

Aggregate Volume(s)

Aggregate Price

1. -

2. -

3. £7.1335

4. £7.1335

5. £7.1335

6. £7.1335

 

 

1. -

2. -

3. 4,615.020817

4. 25.586458

5. 0.516015

6. 5,541.456648

1. -

2. -

3. £32,921.25

4. £182.52

5. £3.68

6. £39,529.98

 

 

 

g)

Date of transaction

26 April 2019

h)

Place of transaction

London Stock Exchange, Main Market (XLON)

 

 For further information, please contact:

 SSP Group plc

Helen Byrne, Company Secretary

Tel: +44 (0) 207 543 3404

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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