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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Kingspan Group Plc | LSE:KGP | London | Ordinary Share | IE0004927939 | ORD EUR0.13 (CDI) |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 72.80 | 72.50 | 73.10 | 0.00 | 00:00:00 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
0 | 0 | N/A | 0 |
TIDMKGP
RNS Number : 6741X
Kingspan Group PLC
09 May 2016
Notification of Transactions of (1) Persons Discharging Managerial Responsibility and (2) Persons closely associated with Persons Discharging Managerial Responsibility
This form is intended for use by an issuer making a notification required by Rules 7.2 and 7.3 of the Central Bank of Ireland's Market Abuse Rules in relation to a person falling within either of the above categories of individual. These categories are defined in Regulation 12 (8) of the Market Abuse (Directive 2003/6/EC) Regulations 2005 and are detailed as part of this form.
All relevant boxes should be completed in block capital letters.
Name of the Issuer Name of person discharging managerial responsibilities 1 KINGSPAN GROUP PLC 2 PETER WILSON --- ------------------------------ --- ---------------------------------- State whether notification Indicate whether the notification relates to a person is in respect of a holding closely associated of the person referred with a person discharging to in 2 or 3 above or managerial responsibilities in respect of a non-beneficial named in 2 and identify interest the connected person NOTIFICATION RELATES NOTIFICATION IS IN RESPECT TO PERSON NAMED IN OF A HOLDING OF THE PERSON 3 2 4 REFERRED TO IN 2 --- ------------------------------ --- ---------------------------------- Name of registered shareholder(s) Description of shares and, if more than one, or derivatives or other number of shares or derivatives financial instruments or other financial instruments linked to them linked to them, held by each shareholder ORDINARY SHARES OF 5 EUR0.13 EACH 6 PETER WILSON --- ------------------------------ --- ---------------------------------- State the nature of Number of shares, derivatives the transaction or other financial instruments RE-ISSUE OF TREASURY linked to them acquired SHARES IN SATISFACTION 7 OF A CONTRACTUAL OBLIGATION. 8 11,164 --- ------------------------------ --- ---------------------------------- Number of shares, derivatives Price per share or derivative or other financial or other financial instrument instruments linked linked to them or value to them disposed of of transaction 9 N/A 10 EUR22.66 PER SHARE --- ------------------------------ --- ---------------------------------- Date issuer informed of Date and place of transaction transaction 11 09 MAY 2016, IRELAND 12 09 MAY 2016 --- ------------------------------ --- ---------------------------------- Name of contact and telephone number for queries Any additional information LORCAN DOWD 13 NONE. 14 PHONE: +353 42 9698000 --- ------------------------------ --- ---------------------------------- Person authorised on behalf of the issuer responsible for making the notification LORCAN DOWD Date of notification 09 MAY 2016 --- -----------------------------------------------------------------------
Information required under Irish Stock Exchange Listing Rule 6.10
The following additional information is required to be disclosed under ISE Listing Rule 6.10 in respect of interests in securities of a director or secretary or their connected persons. An issuer is not being required to submit the information below to the Central Bank in respect of any PDMR who is also a director/secretary/connected persons.
State whether the notification relates to a single Name of director or transaction being notified secretary (if not in accordance with the required to be stated Market Abuse Rules and in box 2) ISE LR 6.10 15 PETER WILSON 16 SINGLE TRANSACTION --- -------------------------- --- ------------------------------- Percentage of issued class acquired (treasury shares Description of class of that class should not of share be taken into account when calculating percentage) ORDINARY SHARES OF 17 EUR0.13 EACH 18 (0.006%) --- -------------------------- --- ------------------------------- Total holding following notification and total Percentage of issued percentage holding following class disposed (treasury notification (any treasury shares of that class shares should not be taken should not be taken into account when calculating into account when percentage) calculating percentage) 366,876 ORDINARY SHARES 19 N/A 20 (0.206%) --- -------------------------- --- -------------------------------
If a person whose interests are required to be disclosed under ISE Listing Rule 6.10 has been granted options by the issuer, please complete the following boxes:
Period during which or date on which it can be exercised Date of grant 21 N/A 22 N/A --- ---------------------------------------- --- ----------------------------------------------- 23 Total amount paid 24 Description of shares (if any) for grant or derivatives or other of the option financial instruments N/A linked to them N/A --- ---------------------------------------- --- ----------------------------------------------- Exercise price (if fixed at time of grant) or indication that the price is to be Total number of shares fixed at the time over which options are of exercise held following notification 25 N/A 26 N/A --- ---------------------------------------- --- ----------------------------------------------- 27. Any other information. --------------------------------------------------------------------------------------------------- Name and signature of duly designated officer of issuer responsible for making notification LORCAN DOWD Date of notification 09 MAY 2016 ---------------------------------------------------------------------------------------------------
The duly designated officer of the issuer responsible for making this notification acknowledges and confirms that he/she is aware that the information as has been provided in response to the questions 15 to 26 above is not information which has been required by or which has been requested by the Central Bank, and is information which is required to be provided to the Irish Stock Exchange only.
Notification of Transactions of (1) Persons Discharging Managerial Responsibility and (2) Persons closely associated with Persons Discharging Managerial Responsibility
This form is intended for use by an issuer making a notification required by Rules 7.2 and 7.3 of the Central Bank of Ireland's Market Abuse Rules in relation to a person falling within either of the above categories of individual. These categories are defined in Regulation 12 (8) of the Market Abuse (Directive 2003/6/EC) Regulations 2005 and are detailed as part of this form.
All relevant boxes should be completed in block capital letters.
Name of the Issuer Name of person discharging managerial responsibilities 1 KINGSPAN GROUP PLC 2 RUSSELL SHIELS --- ----------------------------------- --- ------------------------------------- State whether notification Indicate whether the notification relates to a person is in respect of a holding closely associated of the person referred with a person discharging to in 2 or 3 above or managerial responsibilities in respect of a non-beneficial named in 2 and identify interest the connected person NOTIFICATION RELATES NOTIFICATION IS IN RESPECT TO PERSON NAMED IN OF A HOLDING OF THE PERSON
3 2 4 REFERRED TO IN 2 --- ----------------------------------- --- ------------------------------------- Name of registered shareholder(s) Description of shares and, if more than one, or derivatives or other number of shares or derivatives financial instruments or other financial instruments linked to them linked to them, held by each shareholder ORDINARY SHARES OF 5 EUR0.13 EACH 6 RUSSELL SHIELS --- ----------------------------------- --- ------------------------------------- State the nature of the transaction (i) RE-ISSUE OF TREASURY Number of shares, derivatives SHARES IN SATISFACTION or other financial instruments OF A CONTRACTUAL OBLIGATION. linked to them acquired 7 (ii) DISPOSAL OF SHARES. 8 (i) 7,874 --- ----------------------------------- --- ------------------------------------- Price per share or derivative Number of shares, derivatives or other financial instrument or other financial linked to them or value instruments linked of transaction to them disposed of (i) EUR22.66 PER SHARE 9 (ii) 7,874 10 (ii) EUR22.94 PER SHARE --- ----------------------------------- --- ------------------------------------- Date issuer informed of Date and place of transaction transaction 11 09 MAY 2016, IRELAND 12 09 MAY 2016 --- ----------------------------------- --- ------------------------------------- Name of contact and telephone number for queries Any additional information LORCAN DOWD 13 NONE. 14 PHONE: +353 42 9698000 --- ----------------------------------- --- ------------------------------------- Person authorised on behalf of the issuer responsible for making the notification LORCAN DOWD Date of notification 09 MAY 2016 --- -------------------------------------------------------------------------------
Information required under Irish Stock Exchange Listing Rule 6.10
The following additional information is required to be disclosed under ISE Listing Rule 6.10 in respect of interests in securities of a director or secretary or their connected persons. An issuer is not being required to submit the information below to the Central Bank in respect of any PDMR who is also a director/secretary/connected persons.
State whether the notification relates to a single Name of director or transaction being notified secretary (if not in accordance with the required to be stated Market Abuse Rules and in box 2) ISE LR 6.10 15 RUSSELL SHIELS 16 SINGLE TRANSACTION --- -------------------------- --- ------------------------------- Percentage of issued class acquired (treasury shares Description of class of that class should not of share be taken into account when calculating percentage) ORDINARY SHARES OF 17 EUR0.13 EACH 18 (0.004%) --- -------------------------- --- ------------------------------- Total holding following notification and total Percentage of issued percentage holding following class disposed (treasury notification (any treasury shares of that class shares should not be taken should not be taken into account when calculating into account when percentage) calculating percentage) 368,307 ORDINARY SHARES 19 (0.004%) 20 (0.207%) --- -------------------------- --- -------------------------------
If a person whose interests are required to be disclosed under ISE Listing Rule 6.10 has been granted options by the issuer, please complete the following boxes:
Period during which or date on which it can be exercised Date of grant 21 N/A 22 N/A --- ---------------------------------------- --- ----------------------------------------------- 23 Total amount paid 24 Description of shares (if any) for grant or derivatives or other of the option financial instruments N/A linked to them N/A --- ---------------------------------------- --- ----------------------------------------------- Exercise price (if fixed at time of grant) or indication that the price is to be Total number of shares fixed at the time over which options are of exercise held following notification 25 N/A 26 N/A --- ---------------------------------------- --- ----------------------------------------------- 27. Any other information. --------------------------------------------------------------------------------------------------- Name and signature of duly designated officer of issuer responsible for making notification LORCAN DOWD Date of notification 09 MAY 2016 ---------------------------------------------------------------------------------------------------
The duly designated officer of the issuer responsible for making this notification acknowledges and confirms that he/she is aware that the information as has been provided in response to the questions 15 to 26 above is not information which has been required by or which has been requested by the Central Bank, and is information which is required to be provided to the Irish Stock Exchange only.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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May 09, 2016 08:03 ET (12:03 GMT)
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