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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
R.e.a. Holdings Plc | LSE:RE. | London | Ordinary Share | GB0002349065 | ORD 25P |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
3.50 | 4.59% | 79.75 | 79.50 | 80.00 | 80.00 | 78.50 | 78.50 | 12,292 | 16:35:18 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
Chemicals & Chem Preps, Nec | 208.78M | 27.78M | 0.6318 | 1.27 | 35.17M |
Dow Jones received a payment from EQS/DGAP to publish this press release.
R.E.A. Holdings plc (RE.) R.E.A. Holdings plc: PDMR notification 21-Dec-2016 / 13:05 GMT/BST Dissemination of a Regulatory Announcement, transmitted by EQS Group. The issuer is solely responsible for the content of this announcement. *R.E.A. holdings plc ('REA' or the 'company') Persons Discharging Managerial Responsibilities (PDMR) Notification* *Surrender of awards by and grant of awards to a director * The company announces today that on 16 December 2016 Mark Parry, managing director of REA, surrendered in full an award granted to him on 12 June 2013 under the 2013 Long-Term Incentive Plan and, at the same time, the company granted to Mr Parry an award under the 2015 Long-Term Incentive Plan. +--------------------------------------------------------------+ |*1 - Details of the person discharging managerial | |responsibilities / person closely associated* | +--------------------------------------------------------------+ Must complete either for a natural person or a legal person. If completing for a legal person, please include the legal form as provided for in the register where it is incorporated, if applicable. +-----------------------+-------------+--------+------------+ |Name of natural person*|First Name(s)| |Last Name(s)| +-----------------------+-------------+--------+------------+ | |Mark | |Parry | +-----------------------+-------------+--------+------------+ |Or | | +-----------------------+-------------+--------+------------+ |Legal Person * | | +-----------------------+-------------+--------+------------+ +---------------------------------+ |*2 - Reason for the notification*| +---------------------------------+ Must complete either for a natural person or a legal person. If completing for a legal person, please include the legal form as provided for in the register where it is incorporated, if applicable. *For persons discharging managerial responsibilities: *the position occupied within the issuer, emission allowance market participant / auction platform / auctioneer / auction monitor should be indicated e.g. CEO, CFO. *For persons closely associated with:*- An indication that the notification concerns a person closely associated with a person discharging managerial responsibilities;- Name and position of the relevant person discharging managerial responsibilities +---------------------------------------+----------------------+ |Position/status* |*Managing Director* | +---------------------------------------+----------------------+ | | | +---------------------------------------+----------------------+ |Initial notification / Amendment * |*Initial notification*| +---------------------------------------+----------------------+ | | | +---------------------------------------+----------------------+ |_In case of amendment, please enter the| | |previous notification reference number | | |and explain the error that this | | |notification is amending._ | | +---------------------------------------+----------------------+ +--------------------------------------------------------------+ |*3 - Details of the issuer, emission allowance market | |participant, auction platform, auctioneer or auction monitor* | +--------------------------------------------------------------+ +----------------------------+----------------------+ |Full name of the entity * |*R.E.A. Holdings plc* | +----------------------------+----------------------+ |Legal Entity Identifier code|*213800YXL94R94RYG150*| +----------------------------+----------------------+ +-------------------------------+ |*4 - Details of transaction(s)*| +-------------------------------+ Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) each type of transaction; (iii) each date; (iv) each place where transactions have been conducted. *Transaction(s) summary table* +----------+--------------+-------------+-------------+--------+ | |*Description | | |*Total | |*Date* |of Financial |*Aggregated |*Aggregated |Aggregat| | |Transaction* |Price* |Volume* |ed | | | | | |Volume* | +----------+--------------+-------------+-------------+--------+ |2016.12.16|Ordinary |3.894 |103,035 |401,418.| | |shares of 25p | | |29 | +----------+--------------+-------------+-------------+--------+ |2016.12.16|Ordinary |2.69 |234,589 |631,044 | | |shares of 25p | | | | +----------+--------------+-------------+-------------+--------+ | | | | | | +----------+--------------+-------------+-------------+--------+ +--------------+--------+-----+-------+-------+--------+-------+ |Description of|*Ordinary shares of 25p* | |the financial | | |instrument, | | |type of | | |instrument * | | +--------------+--------+-----+-------+-------+--------+-------+ | | | +--------------+--------+-----+-------+-------+--------+-------+ |Identification|*ISIN: GB0002349065* | |Code * | | +--------------+--------+-----+-------+-------+--------+-------+ | | | +--------------+--------+-----+-------+-------+--------+-------+ |Nature of the |*Surrender of options * | |transaction * | | +--------------+--------+-----+-------+-------+--------+-------+ | | | | | | +--------------+--------+-----+-------+-------+--------+-------+ |Currency * |*GBP* | | | | +--------------+--------+-----+-------+-------+--------+-------+ | | | | | | +--------------+--------+-----+-------+-------+--------+-------+ |Price(s) and |*Price* |*Volume* |*Total* | |volumes(s) * | | | | +--------------+--------+-----+-------+-------+--------+-------+ | |*3.894p*|*103,035* |*401418.29* | +--------------+--------+-----+-------+-------+--------+-------+ |_Where more | | |than one | | |transaction of| | |the same | | |nature | | |(purchases, | | |sales, | | |lendings, | | |borrows, .) on| | |the same | | |financial | | |instrument or | | |emission | | |allowance are | | |executed on | | |the same day | | |and on the | | |same place of | | |transaction, | | |prices and | | |volumes of | | |these | | |transactions | | |shall be | | |reported in | | |this field, in| | |a two columns | | |form as | | |presented | | |above, | | |inserting as | | |many lines as | | |needed._ | | +--------------+--------+-----+-------+-------+--------+-------+ |_Using the | | |data standards| | |for price and | | |quantity, | | |including | | |where | | |applicable the| | |price currency| | |and the | | |quantity | | |currency, as | |
|defined under | | |Commission | | |Delegated | | |Regulation | | |supplementing | | |Regulation | | |(EU) No | | |600/2014 of | | |the European | | |Parliament and| | |of the Council| | |with regard to| | |regulatory | | |technical | | |standards for | | |the reporting | | |of | | |transactions | | |to competent | | |authorities | | |adopted under | | |Article 26 of | | |Regulation | | |(EU) No | | |600/2014._ | | +--------------+--------+-----+-------+-------+--------+-------+ | | | | | | +--------------+--------+-----+-------+-------+--------+-------+ |Aggregated |*Price* |*Volume* |*Total*| |Information | | | | +--------------+--------+-----+-------+-------+--------+-------+ | |*n/a* |*n/a* |*n/a* | +--------------+--------+-----+-------+-------+--------+-------+ | | | +--------------+--------+-----+-------+-------+--------+-------+ |Date of |*2016-12-16* | |Transaction * | | |Date of the | | |particular day| | |of execution | | |of the | | |notified | | |transaction. | | |Using the ISO | | |8601 date | | |format: | | |YYYY-MM-DD; | | |Date of trade | | |in UTC time | | +--------------+--------+-----+-------+-------+--------+-------+ | | | +--------------+--------+-----+-------+-------+--------+-------+ |Place of |*London* | |transaction * | | +--------------+--------+-----+-------+-------+--------+-------+ |Name and code | | |to identify | | |the MiFID | | |trading venue,| | |the systematic| | |internaliser | | |or the | | |organised | | |trading | | |platform | | |outside of the| | |Union where | | |the | | |transaction | | |was executed | | |as defined | | |under | | |Commission | | |Delegated | | |Regulation | | |supplementing | | |Regulation | | |(EU) No | | |600/2014 of | | |the European | | |Parliament and| | |of the Council| | |with regard to| | |regulatory | | |technical | | |standards for | | |the reporting | | |of | | |transactions | | |to competent | | |authorities | | |adopted under | | |Article 26 of | | |Regulation | | |(EU) No | | |600/2014, or | | |if the | | |transaction | | |was not | | |executed on | | |any of the | | |above | | |mentioned | | |venues, please| | |mention | | |'outside a | | |trading | | |venue'. | | +--------------+--------+-----+-------+-------+--------+-------+ +--------------+-------+------+-------+-------+-------+--------+ |Description of|*Ordinary shares of 25p* | |the financial | | |instrument, | | |type of | | |instrument * | | +--------------+-------+------+-------+-------+-------+--------+ | | | +--------------+-------+------+-------+-------+-------+--------+ |Identification|*ISIN: GB0002349065* | |Code * | | +--------------+-------+------+-------+-------+-------+--------+ | | | +--------------+-------+------+-------+-------+-------+--------+ |Nature of the |*Grant of options * | |transaction * | | +--------------+-------+------+-------+-------+-------+--------+ | | | | | | +--------------+-------+------+-------+-------+-------+--------+ |Currency * |*GBP* | | | | +--------------+-------+------+-------+-------+-------+--------+ | | | | | | +--------------+-------+------+-------+-------+-------+--------+ |Price(s) and |*Price*|*Volume* |*Total* | |volumes(s) * | | | | +--------------+-------+------+-------+-------+-------+--------+ | |*2.69* |*234,589* |*631,044| | | | |* | +--------------+-------+------+-------+-------+-------+--------+ |_Where more | | |than one | | |transaction of| | |the same | | |nature | | |(purchases, | | |sales, | | |lendings, | | |borrows, .) on| | |the same | | |financial | | |instrument or | | |emission | | |allowance are | | |executed on | | |the same day | |
|and on the | | |same place of | | |transaction, | | |prices and | | |volumes of | | |these | | |transactions | | |shall be | | |reported in | | |this field, in| | |a two columns | | |form as | | |presented | | |above, | | |inserting as | | |many lines as | | |needed._ | | +--------------+-------+------+-------+-------+-------+--------+ |_Using the | | |data standards| | |for price and | | |quantity, | | |including | | |where | | |applicable the| | |price currency| | |and the | | |quantity | | |currency, as | | |defined under | | |Commission | | |Delegated | | |Regulation | | |supplementing | | |Regulation | | |(EU) No | | |600/2014 of | | |the European | | |Parliament and| | |of the Council| | |with regard to| | |regulatory | | |technical | | |standards for | | |the reporting | | |of | | |transactions | | |to competent | | |authorities | | |adopted under | | |Article 26 of | | |Regulation | | |(EU) No | | |600/2014._ | | +--------------+-------+------+-------+-------+-------+--------+ | | | | | | +--------------+-------+------+-------+-------+-------+--------+ |Aggregated |*Price* |*Volume* |*Total* | |Information | | | | +--------------+-------+------+-------+-------+-------+--------+ | |*n/a* |*n/a* |*n/a* | +--------------+-------+------+-------+-------+-------+--------+ | | | +--------------+-------+------+-------+-------+-------+--------+ |Date of |*2016-12-16* | |Transaction * | | |Date of the | | |particular day| | |of execution | | |of the | | |notified | | |transaction. | | |Using the ISO | | |8601 date | | |format: | | |YYYY-MM-DD; | | |Date of trade | | |in UTC time | | +--------------+-------+------+-------+-------+-------+--------+ | | | +--------------+-------+------+-------+-------+-------+--------+ |Place of |*London* | |transaction * | | +--------------+-------+------+-------+-------+-------+--------+ |Name and code | | |to identify | | |the MiFID | | |trading venue,| | |the systematic| | |internaliser | | |or the | | |organised | | |trading | | |platform | | |outside of the| | |Union where | | |the | | |transaction | | |was executed | | |as defined | | |under | | |Commission | | |Delegated | | |Regulation | | |supplementing | | |Regulation | | |(EU) No | | |600/2014 of | | |the European | | |Parliament and| | |of the Council| | |with regard to| | |regulatory | | |technical | | |standards for | | |the reporting | | |of | | |transactions | | |to competent | | |authorities | | |adopted under | | |Article 26 of | | |Regulation | | |(EU) No | | |600/2014, or | | |if the | | |transaction | | |was not | | |executed on | | |any of the | | |above | | |mentioned | | |venues, please| | |mention | | |'outside a | | |trading | | |venue'. | | +--------------+-------+------+-------+-------+-------+--------+ Language: English ISIN: GB0002349065 Category Code: DSH TIDM: RE. Sequence Number: 3715 Time of Receipt: 21-Dec-2016 / 13:05 GMT/BST End of Announcement EQS News Service 532161 21-Dec-2016
(END) Dow Jones Newswires
December 21, 2016 08:07 ET (13:07 GMT)
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