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ARW Arrow Global Group Plc

307.00
0.00 (0.00%)
26 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Arrow Global Group Plc LSE:ARW London Ordinary Share GB00BDGTXM47 ORD 1P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 307.00 307.00 307.50 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Arrow Global Group PLC Director/PDMR Shareholding (0925B)

30/03/2017 5:56pm

UK Regulatory


Arrow Global (LSE:ARW)
Historical Stock Chart


From Apr 2019 to Apr 2024

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TIDMARW

RNS Number : 0925B

Arrow Global Group PLC

30 March 2017

30 March 2017

Arrow Global Group PLC (the "Company")

Director/PDMR Shareholding

Notification of Transactions of Directors, Persons Discharging Managerial Responsibility and Persons Closely Associated under the Arrow Global Group Share Incentive Plan ("SIP")

In accordance with Article 19.3 of the Market Abuse Regulation, Arrow Global Group Plc announces that on 30 March 2017 it was notified by Capita IRG Trustees Limited (the "SIP Trustee") that the following persons discharging managerial responsibility were allocated, on 28 March 2017, under the SIP, Partnership Shares (purchased out of participating employees' gross salaries at GBP3.382 per share) and Matching Shares, held through the SIP Trustee, as set out below:

 
 PERSONS DISCHARGING            Partnership Shares acquired   Matching Shares acquired      Aggregate Shares held 
 MANAGERIAL RESPONSIBILITY      under the SIP (a)             under SIP (b)                 Beneficially (across all 
                                                                                            accounts following 
                                                                                            notification) (c) (e) 
-----------------------------  ----------------------------  ----------------------------  --------------------------- 
 Zachary Lewy                   44                            44                            3,717,047 (d) 
-----------------------------  ----------------------------  ----------------------------  --------------------------- 
 Stewart Hamilton               44                            44                            166,281(f) 
-----------------------------  ----------------------------  ----------------------------  --------------------------- 
 Steve Greenwood                44                            44                            33,203(f) 
-----------------------------  ----------------------------  ----------------------------  --------------------------- 
 Tracy French                   44                            44                            2,840 
-----------------------------  ----------------------------  ----------------------------  --------------------------- 
 

Notes

(a) Pursuant to a regular monthly instruction, the SIP Trustee acquires Partnership Shares using the participating employees' gross salaries. The Company gives the participating employees 1 Matching Share for each Partnership Share bought on their behalf. The Matching Shares are subject to a 3 year forfeiture period.

(b) Ordinary Shares of 1 pence each are transferred by the Trustee of the Arrow Global 2016 Employee Benefit Trust to the SIP Trustee on a regular basis to satisfy Matching Share awards under the SIP to Participants.

   (c)           Excludes unvested LTIP awards of nil cost options. 
   (d)           Includes awards under the Deferred Share Bonus Plan and restricted share awards. 
   (e)           Includes shares held by Persons Closely Associated. 

(f) Includes the vested award under the 2014 LTIP awards that, as at the date of this announcement, are unexercised.

 
1   Details of the person discharging managerial 
     responsibilities/person closely associated 
    ------------------------------------------------------------------------------------------------------ 
a)  Name                                                                             Zachary Lewy 
    -------------------------------------------------------------------------------  --------------------- 
2   Reason for the notification 
    ------------------------------------------------------------------------------------------------------ 
a)  Position/status                                                                  Founder and 
                                                                                      Group Chief 
                                                                                      Investment Officer 
    -------------------------------------------------------------------------------  --------------------- 
b)  Initial notification/ Amendment                                                   Initial notification 
    -------------------------------------------------------------------------------  --------------------- 
3   Details of the issuer 
    ------------------------------------------------------------------------------------------------------ 
a)  Name                                                                             Arrow Global 
                                                                                      Group Plc 
    -------------------------------------------------------------------------------  --------------------- 
b)  LEI code                                                                         213800CUJ6YMLEO33C88 
    -------------------------------------------------------------------------------  --------------------- 
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 1p each 
                                                                                      ISIN: GB00BDGTXM47 
    -------------------------------------------------------------------------------  --------------------- 
b)  Nature of the transaction                                                        Allocation of 
                                                                                      Partnership 
                                                                                      Shares and Matching 
                                                                                      Shares under 
                                                                                      the SIP, held 
                                                                                      through the 
                                                                                      SIP Trustee. 
    -------------------------------------------------------------------------------  --------------------- 
c)  Price(s) and volume(s)                                                           Price - GBP3.382 
                                                                                      Volume - 88 
    -------------------------------------------------------------------------------  --------------------- 
d)  Aggregated information                                                           N/A 
     - Aggregated volume 
     - Price 
    -------------------------------------------------------------------------------  --------------------- 
e)  Date of the transaction                                                          28 March2017 
    -------------------------------------------------------------------------------  --------------------- 
f)  Place of the transaction                                                         London Stock 
                                                                                      Exchange 
    -------------------------------------------------------------------------------  --------------------- 
 
 
        1  Details of the person discharging managerial 
            responsibilities/person closely associated 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Tracy French 
---------  -------------------------------------------------------------------------------  --------------------- 
2          Reason for the notification 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Position/status                                                                  Group HR Director 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Initial notification/ Amendment                                                   Initial notification 
---------  -------------------------------------------------------------------------------  --------------------- 
3          Details of the issuer 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Arrow Global 
                                                                                             Group Plc 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         LEI code                                                                         213800CUJ6YMLEO33C88 
---------  -------------------------------------------------------------------------------  --------------------- 
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 1p each 
                                                                                             ISIN: GB00BDGTXM47 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Nature of the transaction                                                        Allocation of 
                                                                                             Partnership 
                                                                                             Shares and Matching 
                                                                                             Shares under 
                                                                                             the SIP, held 
                                                                                             through the 
                                                                                             SIP Trustee. 
---------  -------------------------------------------------------------------------------  --------------------- 
c)         Price(s) and volume(s)                                                           Price - GBP3.382 
                                                                                             Volume - 88 
---------  -------------------------------------------------------------------------------  --------------------- 
d)         Aggregated information                                                           N/A 
            - Aggregated volume 
            - Price 
---------  -------------------------------------------------------------------------------  --------------------- 
e)         Date of the transaction                                                          28 March 2017 
---------  -------------------------------------------------------------------------------  --------------------- 
f)         Place of the transaction                                                         London Stock 
                                                                                             Exchange 
---------  -------------------------------------------------------------------------------  --------------------- 
 
 
        1  Details of the person discharging managerial 
            responsibilities/person closely associated 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Stewart Hamilton 
---------  -------------------------------------------------------------------------------  --------------------- 
2          Reason for the notification 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Position/status                                                                  Group General 
                                                                                             Counsel and 
                                                                                             Company Secretary 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Initial notification/ Amendment                                                   Initial notification 
---------  -------------------------------------------------------------------------------  --------------------- 
3          Details of the issuer 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Arrow Global 
                                                                                             Group Plc 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         LEI code                                                                         213800CUJ6YMLEO33C88 
---------  -------------------------------------------------------------------------------  --------------------- 
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 1p each 
                                                                                             ISIN: GB00BDGTXM47 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Nature of the transaction                                                        Allocation of 
                                                                                             Partnership 
                                                                                             Shares and Matching 
                                                                                             Shares under 
                                                                                             the SIP, held 
                                                                                             through the 
                                                                                             SIP Trustee. 
---------  -------------------------------------------------------------------------------  --------------------- 
c)         Price(s) and volume(s)                                                           Price - GBP3.382 
                                                                                             Volume - 88 
---------  -------------------------------------------------------------------------------  --------------------- 
d)         Aggregated information                                                           N/A 
            - Aggregated volume 
            - Price 
---------  -------------------------------------------------------------------------------  --------------------- 
e)         Date of the transaction                                                          28 March 2017 
---------  -------------------------------------------------------------------------------  --------------------- 
f)         Place of the transaction                                                         London Stock 
                                                                                             Exchange 
---------  -------------------------------------------------------------------------------  --------------------- 
 
 
        1  Details of the person discharging managerial 
            responsibilities/person closely associated 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Steve Greenwood 
---------  -------------------------------------------------------------------------------  --------------------- 
2          Reason for the notification 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Position/status                                                                  Group Chief 
                                                                                             Risk Officer 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Initial notification/ Amendment                                                   Initial notification 
---------  -------------------------------------------------------------------------------  --------------------- 
3          Details of the issuer 
---------  ------------------------------------------------------------------------------------------------------ 
a)         Name                                                                             Arrow Global 
                                                                                             Group Plc 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         LEI code                                                                         213800CUJ6YMLEO33C88 
---------  -------------------------------------------------------------------------------  --------------------- 
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 1p each 
                                                                                             ISIN: GB00BDGTXM47 
---------  -------------------------------------------------------------------------------  --------------------- 
b)         Nature of the transaction                                                        Allocation of 
                                                                                             Partnership 
                                                                                             Shares and Matching 
                                                                                             Shares under 
                                                                                             the SIP, held 
                                                                                             through the 
                                                                                             SIP Trustee. 
---------  -------------------------------------------------------------------------------  --------------------- 
c)         Price(s) and volume(s)                                                           Price - GBP3.382 
                                                                                             Volume - 88 
---------  -------------------------------------------------------------------------------  --------------------- 
d)         Aggregated information                                                           N/A 
            - Aggregated volume 
            - Price 
---------  -------------------------------------------------------------------------------  --------------------- 
e)         Date of the transaction                                                          28 March 2017 
---------  -------------------------------------------------------------------------------  --------------------- 
f)         Place of the transaction                                                         London Stock 
                                                                                             Exchange 
---------  -------------------------------------------------------------------------------  --------------------- 
 

ENQUIRIES

 
                                         +44 (0)161 
 Arrow Global                             242 1724 
 Stewart Hamilton (Company Secretary) 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

DSHBLGDXDUXBGRG

(END) Dow Jones Newswires

March 30, 2017 12:56 ET (16:56 GMT)

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