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CCC Computacenter Plc

2,572.00
24.00 (0.94%)
26 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Computacenter Plc LSE:CCC London Ordinary Share GB00BV9FP302 ORD 7 5/9P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  24.00 0.94% 2,572.00 2,570.00 2,574.00 2,584.00 2,536.00 2,568.00 302,942 16:35:29
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Computer Related Svcs, Nec 6.92B 197.6M 1.7312 14.86 2.94B

Computacenter PLC Director/PDMR Shareholding (7976T)

22/03/2019 6:25pm

UK Regulatory


Computacenter (LSE:CCC)
Historical Stock Chart


From Apr 2019 to Apr 2024

Click Here for more Computacenter Charts.

TIDMCCC

RNS Number : 7976T

Computacenter PLC

22 March 2019

Computacenter plc

Incorporated in England

Registration number: 03110569

LEI: 549300XSXUZ1I19DB105

ISIN: GB00BV9FP302

Computacenter plc

(the 'Company')

The following notifications are made under article 19 of the Market Abuse Regulation ('MAR') relating to certain transactions in the shares of the Company by Directors of the Company, Persons Discharging Managerial Responsibilities ('PDMR') of the Company and Persons Closely Associated ('PCA') with the Directors and PDMRs.

Grant of Awards - Performance Share Plan

The Company announces that on 21 March 2019, in accordance with the rules of the Computacenter Performance Share Plan 2005 (the 'PSP'), the Company granted conditional awards (the 'PSP Awards') over Ordinary Shares of 7(5) /(9) pence each in the capital of the Company ('Ordinary Shares'), to the following Directors/PDMR:

 
 Director                        Number of shares 
                                    awarded(1) 
 
 Mr F Conophy (Director)              51,384 
 
 Mr M Norris (Director)               90,604 
 
 (1) Calculated using a price of 1,192.00 
  pence per Ordinary Share which is the average 
  middle market closing quotation, as derived 
  from the Daily Official List of the London 
  Stock Exchange, over the period from 18 
  March 2019 to 20 March 2019, being the 
  three trading days before the date of grant 
  of the award. 
 

Performance Criteria

No consideration was paid for the grant of the PSP Awards which are structured as nil cost options, and which shall ordinarily vest and become exercisable by the two participants listed above, subject to the satisfaction of the performance conditions set by the Remuneration Committee of the Company which are based on (i) the compound annual growth rate of the Group's EPS, commencing on 1 January 2019 and ending on 31 December 2021 (the 'Performance Period') and (ii) the compound annual growth rate of the Group's Services Revenue over the Performance Period. The PSP Awards for Messrs Conophy and Norris are subject to a two-year holding period following vesting. The vested PSP Awards held during the holding period will include the right to receive dividend equivalents.

 
 PDMR                          Number of shares 
                                   awarded(1) 
 
 Mr K James (PDMR)                   9,857 
 
 Mr R Gray (PDMR)                    3,435 
 
 (1) Calculated using a price of 1,192.00 
  pence per Ordinary Share which is the average 
  middle market closing quotation, as derived 
  from the Daily Official List of the London 
  Stock Exchange, over the period from 18 
  March 2019 to 20 March 2019, being the 
  three trading days before the date of grant 
  of the award. 
 

Performance Criteria

No consideration was paid for the grant of the PSP Awards which are structured as nil cost options, and which shall ordinarily vest and become exercisable by the two participants listed above, subject to the satisfaction of the performance conditions set by the Remuneration Committee of the Company which are based on the compound annual growth rate of the Group's EPS over the Performance Period.

All of the PSP Awards set out above will be satisfied out of shares held by the 2011 Computacenter Employee Benefit Trust. The relevant FCA notifications are set out below.

Grant of Awards - Deferred Bonus Plan

The Company announces that on 21 March 2019, in accordance with the rules of the Computacenter 2017 Deferred Bonus Plan (the 'DBP'), the Company granted conditional awards (the 'Bonus Awards') over Ordinary Shares of 7(5) /(9) pence each, to the following Directors:

 
 Director                        Number of shares 
                                    awarded(1) 
 
 Mr F Conophy (Director)              12,865 
 
 Mr M Norris (Director)               23,396 
 
 (1) Calculated using a price of 1,192.00 
  pence per Ordinary Share which is the average 
  middle market closing quotation, as derived 
  from the Daily Official List of the London 
  Stock Exchange, over the period from 18 
  March 2019 to 20 March 2019, being the 
  three trading days before the date of grant 
  of the award. 
 

Performance Criteria

The annual performance bonus for each of the two participants listed above is based on performance measures and targets set at the beginning of each financial year. Performance is normally assessed over one financial year. For the bonus paid in respect of 2018, 50 per cent will be paid in cash and 50 per cent, the Bonus Awards, has been deferred into Ordinary Shares of 7(5) /(9) pence each, as detailed above. One-half of the deferred shares from the Bonus Awards will vest after one year and the remaining deferred shares from the Bonus Awards will vest after two years. Ordinary Shares subject to deferral as part of the Bonus Awards will include the right to receive dividend equivalents.

No consideration was paid for the grant of the Bonus Awards which are structured as nil cost options, and which shall ordinarily vest and become exercisable by the two participants listed above, subject to confirmation by the Remuneration Committee of the Company.

All of the Bonus Awards set out above will be satisfied by market purchase of shares. The relevant FCA notifications are set out below.

Exercise of Options and Subsequent Sale of Shares

Computacenter Performance Share Plan 2005

The Company announces that on 21 March 2019, the following Directors exercised nil cost option awards over Ordinary Shares. This followed, in accordance with the rules of the PSP, the Company vesting the related conditional awards, which were granted on 22 March 2016, over Ordinary Shares. Further, certain of the Ordinary Shares, resulting from the exercise of options, were sold for 1188.7564 pence each.

 
   DIRECTOR          Number of        % Award      Number of          Number of 
                  shares exercised    vested(2)    shares sold    shares retained(3) 
 
 Mr F Conophy 
   (Director)         44,193           65.68%        44,193               - 
 
  Mr M Norris 
   (Director)         77,703           65.68%        66,705            10,998 
 
 (2) On 21 March 2019, the Directors listed above became 
  entitled to Ordinary Shares as a result of awards vesting 
  under the PSP. Awards granted under the PSP scheme vest 
  subject to the satisfaction of performance conditions at 
  the end of a three year period. The level of vesting for 
  awards granted in 2016 was 65.68% for the PSP Enhanced 
  Scheme. 
 (3) Mr M Norris transferred the balance of his Ordinary 
  Shares retained following the exercise shown above to a 
  Person Closely Associated ('PCA') with him, Mrs J Norris. 
 

Computacenter 2017 Deferred Bonus Plan

The Company announces that on 21 March 2019, the following Directors exercised nil cost option awards over Ordinary Shares. This followed, in accordance with the rules of the Computacenter 2017 Deferred Bonus Plan, the Company vesting the related conditional Bonus Awards, which were granted on 21 March 2018, over Ordinary Shares. Vesting of this tranche of the 2017 Bonus Awards was subject to the completion of a one year holding period. The remainder of the 2017 Bonus Awards will vest at the completion of a second year of holding. Further, certain of the Ordinary Shares, resulting from the exercise of options, were sold for 1188.7564 pence each.

 
   DIRECTOR           Number of          Number of          Number of 
                  shares exercised(4)    shares sold    shares retained(3) 
 
 Mr F Conophy 
   (Director)           6,529              6,529                - 
 
  Mr M Norris 
   (Director)           12,811             10,998             1,813 
 
 (3) Mr M Norris transferred the balance of his 
  Ordinary Shares retained following the exercise 
  shown above to a Person Closely Associated ('PCA') 
  with him, Mrs J Norris. 
 (4) On 21 March 2019, the Directors and PDMRs 
  listed above became entitled to ordinary shares 
  of 7(5) /(9) pence each in the capital of the 
  Company, as a result of awards vesting under 
  the DBP. Awards granted under the DBP scheme 
  vest in two tranches with one-half of the deferred 
  shares from the Bonus Awards vesting after one 
  year and the remaining deferred shares from 
  the Bonus Awards vesting after two years. All 
  of the shares vesting and exercised above relate 
  to the first tranche of the award made on 21 
  March 2018. 
 

The relevant FCA notifications are set out below.

Position following Grant of Awards, Exercise of Options and Sale of Ordinary Shares

Following the completion of the transactions set out in this announcement:

 
 DIRECTOR        Number of Ordinary    Balance of     Balance of conditional 
                   Shares held(5)      conditional         awards under 
                                       awards under       the Bonus Award 
                                         the PSP 
 
 Mr F Conophy 
  (Director)         1,851,961           182,482              19,395 
 
 Mr M Norris 
  (Director)         1,145,630           321,952              36,207 
 
 (5) Includes interests held by a PCA 
 

PDMR/PCA FCA Transaction Notification

 
 
   1.       Details of Director/Person Discharging Managerial 
            Responsibilities 
 
            Name                      Francis Anthony Conophy 
         ------------------------  ------------------------------------------------ 
 
   2.       Reason for the notification 
         -------------------------------------------------------------------------- 
 
   2(a)     Position/Status           Group Finance Director 
         ------------------------  ------------------------------------------------ 
 
   2(b)     Initial Notification/     Initial Notification 
            Amendment 
         ------------------------  ------------------------------------------------ 
 
   3.       Details of the issuer 
         -------------------------------------------------------------------------- 
 
   3(a)     Name                      Computacenter plc 
         ------------------------  ------------------------------------------------ 
 
   3(b)     LEI                       549300XSXUZ1I19DB105 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Ordinary Shares acquired following exercise 
            Transaction               of a conditional award under the PSP. 
                                      There was no price payable on the grant 
                                      or exercise of the award. Vesting was 
                                      subject to the achievement of performance 
                                      conditions over a three-year period. 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  nil                            44,193 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                            44,193 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares for the above-mentioned exercise 
                                      were satisfied out of those held by 
                                      the 2011 Computacenter Employee Benefit 
                                      Trust. 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Ordinary Shares acquired following exercise 
            Transaction               of a conditional award, made on 21 March 
                                      2018, under the Computacenter 2017 Deferred 
                                      Bonus Plan (the 'Bonus Award'). There 
                                      is no price payable on the grant or 
                                      exercise of the Bonus Award. Vesting 
                                      of this tranche of the 2017 award was 
                                      subject to the completion of a one year 
                                      holding period. The remainder of the 
                                      2017 award will vest at the completion 
                                      of a second year of holding. 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  nil                            6,529 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                            6,529 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares for the above-mentioned exercise 
                                      were satisfied out of those held by 
                                      the 2011 Computacenter Employee Benefit 
                                      Trust. 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Sale of Ordinary Shares. 
            Transaction 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  11.887564                      50,722 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     11.887564                      50,722 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares disposed were sold to the 2011 
                                      Computacenter Employee Benefit Trust 
                                      in off-market transactions at the market 
                                      volume-weighted average price of 11.887564 
                                      on 21 March 2019. 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Grant of a conditional award over Ordinary 
            Transaction               Shares under the Computacenter Performance 
                                      Share Plan 2005 (the 'PSP'). There is 
                                      no price payable on the grant or exercise 
                                      of the award. Vesting is subject to 
                                      the achievement of performance conditions 
                                      over a three year period. 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  nil                            51,384 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                            51,384 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside of a trading venue. 
            transaction 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Grant of a conditional award over Ordinary 
            Transaction               Shares under the Computacenter 2017 
                                      Deferred Bonus Plan (the 'Bonus Award'). 
                                      There is no price payable on the grant 
                                      or exercise of the Bonus Award. 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  nil                            12,865 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                            12,865 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside of a trading venue. 
            transaction 
         ------------------------  ------------------------------------------------ 
 
 
 
   1.       Details of Director/Person Discharging Managerial 
            Responsibilities 
 
            Name                      Michael John Norris 
         ------------------------  -------------------------------------------------- 
 
   2.       Reason for the notification 
         ---------------------------------------------------------------------------- 
 
   2(a)     Position/Status           Chief Executive Officer 
         ------------------------  -------------------------------------------------- 
 
   2(b)     Initial Notification/     Initial Notification 
            Amendment 
         ------------------------  -------------------------------------------------- 
 
   3.       Details of the issuer 
         ---------------------------------------------------------------------------- 
 
   3(a)     Name                      Computacenter plc 
         ------------------------  -------------------------------------------------- 
 
   3(b)     LEI                       549300XSXUZ1I19DB105 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Ordinary Shares acquired following exercise 
            Transaction               of a conditional award under the PSP. 
                                      There was no price payable on the grant 
                                      or exercise of the award. Vesting was 
                                      subject to the achievement of performance 
                                      conditions over a three year period. 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  nil                             77,703 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                             77,703 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares for the above-mentioned exercise 
                                      were satisfied out of those held by 
                                      the 2011 Computacenter Employee Benefit 
                                      Trust. 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Ordinary Shares acquired following exercise 
            Transaction               of a conditional award, made on 21 March 
                                      2018, under the Computacenter 2017 Deferred 
                                      Bonus Plan (the 'Bonus Award'). There 
                                      is no price payable on the grant or 
                                      exercise of the Bonus Award. Vesting 
                                      of this tranche of the 2017 award was 
                                      subject to the completion of a one year 
                                      holding period. The remainder of the 
                                      2017 award will vest at the completion 
                                      of a second year of holding. 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  nil                             12,811 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                             12,811 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares for the above-mentioned exercise 
                                      were satisfied out of those held by 
                                      the 2011 Computacenter Employee Benefit 
                                      Trust. 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Sale of Ordinary Shares. 
            Transaction 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  11.887564                       77,703 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     11.887564                       77,703 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside of a trading venue. The Ordinary 
            transaction               Shares disposed were sold to the 2011 
                                      Computacenter Employee Benefit Trust 
                                      in off-market transactions at the market 
                                      volume-weighted average price of GBP11.887564 
                                      on 21 March 2019. 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Transfer of the balance of Ordinary 
            Transaction               Shares retained following the exercise 
                                      and sale on 21 March 2019 into the name 
                                      of Mrs Jacqueline Norris, a Person Closely 
                                      Associated with Michael John Norris, 
                                      Chief Executive Officer of Computacenter 
                                      plc, for nil consideration. 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  nil                             12,811 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                             12,811 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside of a trading venue. 
            transaction 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Grant of a conditional award over Ordinary 
            Transaction               Shares under the Computacenter Performance 
                                      Share Plan 2005 (the 'PSP'). There is 
                                      no price payable on the grant or exercise 
                                      of the award. Vesting is subject to 
                                      the achievement of performance conditions 
                                      over a three year period. 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  nil                             90,604 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                             90,604 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside of a trading venue. 
            transaction 
         ------------------------  -------------------------------------------------- 
 
   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 transaction(s) have been conducted 
         ---------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  -------------------------------------------------- 
 
   4(b)     Nature of                 Grant of a conditional award over Ordinary 
            Transaction               Shares under the Computacenter 2017 
                                      Deferred Bonus Plan (the 'Bonus Award'). 
                                      There is no price payable on the grant 
                                      or exercise of the Bonus Award. 
         ------------------------  -------------------------------------------------- 
 
                                      Price(s) (in GBP)               Volume(s) 
         ------------------------  ------------------------------  ------------------ 
          Price(s) and 
 4(c)      Volume(s)                  nil                             23,396 
         ------------------------  ------------------------------  ------------------ 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                             23,396 
         ------------------------  ------------------------------  ------------------ 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  -------------------------------------------------- 
 
   4(f)     Place of the              Outside a trading venue. 
            transaction 
         ------------------------  -------------------------------------------------- 
 
 
 
   1.       Details of Person Closely Associated with Person 
            Discharging Managerial Responsibilities 
 
            Name                      Jacqueline Norris 
         ------------------------  ------------------------------------------------ 
 
   2.       Reason for the notification 
         -------------------------------------------------------------------------- 
 
   2(a)     Position/Status           Person Closely Associated with Michael 
                                      John Norris, Chief Executive Officer 
                                      of Computacenter plc. 
         ------------------------  ------------------------------------------------ 
 
   2(b)     Initial Notification/     Initial Notification 
            Amendment 
         ------------------------  ------------------------------------------------ 
 
   3.       Details of the issuer 
         -------------------------------------------------------------------------- 
 
   3(a)     Name                      Computacenter plc 
         ------------------------  ------------------------------------------------ 
 
   3(b)     LEI                       549300XSXUZ1I19DB105 
         ------------------------  ------------------------------------------------ 
 
   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 transaction(s) have been conducted 
         -------------------------------------------------------------------------- 
 
   4(a)     Description               Ordinary shares of 7 (5) /(9) pence 
            of the financial          in Computacenter plc ('Ordinary Shares') 
            instrument 
                                      ISIN: GB00BV9FP302 
         ------------------------  ------------------------------------------------ 
 
   4(b)     Nature of                 Transfer of the balance of Ordinary 
            Transaction               Shares retained following the exercise 
                                      and sale by Michael John Norris, the 
                                      Chief Executive Officer of the Company, 
                                      on 21 March 2019 into the name of Mrs 
                                      Jacqueline Norris, a Person Closely 
                                      Associated with him, for nil consideration. 
         ------------------------  ------------------------------------------------ 
 
                                      Price(s) (in GBP)              Volume(s) 
         ------------------------  -----------------------------  ----------------- 
          Price(s) and 
 4(c)      Volume(s)                  nil                            12,811 
         ------------------------  -----------------------------  ----------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                     nil                            12,811 
         ------------------------  -----------------------------  ----------------- 
 
            Date of the 
   4(e)     transaction               21-03-2019 
         ------------------------  ------------------------------------------------ 
 
   4(f)     Place of the              Outside a trading venue. 
            transaction 
         ------------------------  ------------------------------------------------ 
 
 
 
   1.       Details of Person Discharging Managerial Responsibilities 
 
            Name                        Kevin James 
         --------------------------  ----------------------------------------------- 
 
   2.       Reason for the notification 
         --------------------------------------------------------------------------- 
 
   2(a)     Position/Status             Group Chief Commercial Officer 
         --------------------------  ----------------------------------------------- 
 
   2(b)     Initial Notification/       Initial Notification 
            Amendment 
         --------------------------  ----------------------------------------------- 
 
   3.       Details of the issuer 
         --------------------------------------------------------------------------- 
 
   3(a)     Name                        Computacenter plc 
         --------------------------  ----------------------------------------------- 
 
   3(b)     LEI                         549300XSXUZ1I19DB105 
         --------------------------  ----------------------------------------------- 
 
   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 transaction(s) have been conducted 
         --------------------------------------------------------------------------- 
 
   4(a)     Description                 Ordinary shares of 7 (5) /(9) pence 
            of the financial            in Computacenter plc ('Ordinary Shares') 
            instrument 
                                        ISIN: GB00BV9FP302 
         --------------------------  ----------------------------------------------- 
 
   4(b)     Nature of                   Grant of a conditional award over Ordinary 
            Transaction                 Shares under the Computacenter Performance 
                                        Share Plan 2005 (the 'PSP'). There is 
                                        no price payable on the grant or exercise 
                                        of the award. Vesting is subject to 
                                        the achievement of performance conditions 
                                        over a three year period. 
         --------------------------  ----------------------------------------------- 
 
                                        Price(s) (in GBP)               Volume(s) 
         --------------------------  ------------------------------  --------------- 
          Price(s) and 
 4(c)      Volume(s)                    nil                             9,857 
         --------------------------  ------------------------------  --------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                       nil                             9,857 
         --------------------------  ------------------------------  --------------- 
 
            Date of the 
   4(e)     transaction                 21-03-2019 
         --------------------------  ----------------------------------------------- 
 
   4(f)     Place of the                Outside of a trading venue. 
            transaction 
         --------------------------  ----------------------------------------------- 
 
 
 
   1.       Details of Person Discharging Managerial Responsibilities 
 
            Name                        Raymond John Gray 
         --------------------------  ----------------------------------------------- 
 
   2.       Reason for the notification 
         --------------------------------------------------------------------------- 
 
   2(a)     Position/Status             Group Company Secretary, Group Head 
                                        of Financial Reporting 
         --------------------------  ----------------------------------------------- 
 
   2(b)     Initial Notification/       Initial Notification 
            Amendment 
         --------------------------  ----------------------------------------------- 
 
   3.       Details of the issuer 
         --------------------------------------------------------------------------- 
 
   3(a)     Name                        Computacenter plc 
         --------------------------  ----------------------------------------------- 
 
   3(b)     LEI                         549300XSXUZ1I19DB105 
         --------------------------  ----------------------------------------------- 
 
   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 transaction(s) have been conducted 
         --------------------------------------------------------------------------- 
 
   4(a)     Description                 Ordinary shares of 7 (5) /(9) pence 
            of the financial            in Computacenter plc ('Ordinary Shares') 
            instrument 
                                        ISIN: GB00BV9FP302 
         --------------------------  ----------------------------------------------- 
 
   4(b)     Nature of                   Grant of a conditional award over Ordinary 
            Transaction                 Shares under the Computacenter Performance 
                                        Share Plan 2005 (the 'PSP'). There is 
                                        no price payable on the grant or exercise 
                                        of the award. Vesting is subject to 
                                        the achievement of performance conditions 
                                        over a three year period. 
         --------------------------  ----------------------------------------------- 
 
                                        Price(s) (in GBP)               Volume(s) 
         --------------------------  ------------------------------  --------------- 
          Price(s) and 
 4(c)      Volume(s)                    nil                             3,435 
         --------------------------  ------------------------------  --------------- 
 
            Aggregated 
            Information 
 
            Aggregated 
            Volume and 
   4(d)     Price                       nil                             3,435 
         --------------------------  ------------------------------  --------------- 
 
            Date of the 
   4(e)     transaction                 21-03-2019 
         --------------------------  ----------------------------------------------- 
 
   4(f)     Place of the                Outside of a trading venue. 
            transaction 
         --------------------------  ----------------------------------------------- 
 

Enquiries:

 
 Name:         Raymond Gray 
               Company Secretary 
 
 Address:      Computacenter plc 
                Hatfield Avenue 
                Hatfield 
                Hertfordshire 
                AL10 9TW 
 
 Telephone:    01707 631 000 
 

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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March 22, 2019 14:25 ET (18:25 GMT)

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