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SN. Smith & Nephew Plc

987.80
3.00 (0.30%)
Last Updated: 12:59:31
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Smith & Nephew Plc LSE:SN. London Ordinary Share GB0009223206 ORD USD0.20
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  3.00 0.30% 987.80 987.80 988.20 991.40 985.40 989.80 247,560 12:59:31
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Ortho,prosth,surg Appl,suply 5.55B 263M 0.3011 32.86 8.64B

Smith & Nephew Plc Director/PDMR Shareholding (1957Z)

10/03/2017 4:20pm

UK Regulatory


Smith & Nephew (LSE:SN.)
Historical Stock Chart


From Apr 2019 to Apr 2024

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TIDMSN.

RNS Number : 1957Z

Smith & Nephew Plc

10 March 2017

SMITH & NEPHEW PLC

10 March 2017

NOTIFICATION AND PUBLIC DISCLOSURE IN ACCORDANCE WITH THE REQUIREMENTS OF THE EU MARKET ABUSE REGUALTION OF TRANSACTIONS BY PERSONS DISCHARGING MANAGERIAL RESPONSIBILITIES AND PERSONS CLOSELY ASSOCIATED WITH THEM.

On 7 March 2017 and 9 March 2017 the following awards of US$0.20 ordinary shares (the "Shares") in Smith & Nephew plc (the "Company") vested under the Smith & Nephew Global Share Plan 2010.

1. FINAL VESTING ON 7 MARCH 2017 OF 2014 EQUITY INCENTIVE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2010:

The awards were granted under the Global Share Plan 2010 on 7 March 2014. One third of the shares vested on 7 March 2015, a further third vested on 7 March 2016 and the final third vested on 7 March 2017. A minimum number of ordinary Shares were sold to cover taxation obligations arising on the vesting of the awards. The number of shares acquired includes the dividend equivalent shares which participants receive on vested shares.

 
                                         Number         Number of      Shares 
                                          of Ordinary    Ordinary       Retained 
                                          Shares         Shares sold 
                                          acquired       at GBP12.22 
 Name                 Director/PDMR                      per share 
-------------------  -----------------  -------------  -------------  ---------- 
                      Chief Executive 
 Olivier Bohuon        Officer           21,569         10,160         11,409 
-------------------  -----------------  -------------  -------------  ---------- 
 Rodrigo Bianchi      PDMR               3,286          0              3,286 
-------------------  -----------------  -------------  -------------  ---------- 
 John Campo           PDMR               6,703          6,703          0 
-------------------  -----------------  -------------  -------------  ---------- 
 Bradley Cannon       PDMR               3,990          2,876          1,114 
-------------------  -----------------  -------------  -------------  ---------- 
 Michael Frazzette    PDMR               7,681          2,910          4,771 
-------------------  -----------------  -------------  -------------  ---------- 
 Elga Lohler          PDMR               3,000          2,155          845 
-------------------  -----------------  -------------  -------------  ---------- 
 Cyrille Petit        PDMR               6,298          2,970          3,328 
-------------------  -----------------  -------------  -------------  ---------- 
 

2. PARTIAL VESTING ON 9 MARCH 2017 OF 2015 EQUITY INCENTIVE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2010:

The awards were granted under the Global Share Plan 2010 on 9 March 2015. One third of the shares vested on 9 March 2016, a further third vested on 9 March 2017 and the final third will vest on 9 March 2018. A minimum number of ordinary Shares were sold to cover taxation obligations arising on the vesting of the awards. The number of shares acquired includes the dividend equivalent shares which participants receive on vested shares.

 
                                         Number         Number of      Shares 
                                          of Ordinary    Ordinary       Retained 
                                          Shares         Shares sold 
                                          acquired       at GBP12.33 
 Name                 Director/PDMR                      per share 
-------------------  -----------------  -------------  -------------  ---------- 
                      Chief Executive 
 Olivier Bohuon        Officer           13,299         6,273          7,026 
-------------------  -----------------  -------------  -------------  ---------- 
 Rodrigo Bianchi      PDMR               8,180          0              8,180 
-------------------  -----------------  -------------  -------------  ---------- 
 John Campo           PDMR               5,613          5,613          0 
-------------------  -----------------  -------------  -------------  ---------- 
 Bradley Cannon       PDMR               3,675          2,570          1,105 
-------------------  -----------------  -------------  -------------  ---------- 
 Michael Frazzette    PDMR               7,076          2,681          4,395 
-------------------  -----------------  -------------  -------------  ---------- 
 Elga Lohler          PDMR               3,099          2,238          861 
-------------------  -----------------  -------------  -------------  ---------- 
 Cyrille Petit        PDMR               5,639          2,660          2,979 
-------------------  -----------------  -------------  -------------  ---------- 
 Glenn Warner         PDMR               3,372          1,053          2,319 
-------------------  -----------------  -------------  -------------  ---------- 
 

3. PARTIAL VESTING ON 7 MARCH 2017 OF 2016 EQUITY INCENTIVE AWARDS MADE UNDER THE GLOBAL SHARE PLAN 2010:

The awards were granted under the Global Share Plan 2010 on 7 March 2016. One third of the shares vested on 7 March 2017, a further third will vest on 7 March 2018 and the final third will vest on 7 March 2019. A minimum number of ordinary Shares were sold to cover taxation obligations arising on the vesting of the awards. The number of shares acquired includes the dividend equivalent shares which participants receive on vested shares.

 
                                         Number         Number of      Shares 
                                          of Ordinary    Ordinary       Retained 
                                          Shares         Shares sold 
                                          acquired       at GBP12.22 
 Name                 Director/PDMR                      per share 
-------------------  -----------------  -------------  -------------  ---------- 
                      Chief Executive 
 Olivier Bohuon        Officer           17,032         8,031          9,001 
-------------------  -----------------  -------------  -------------  ---------- 
 Rodrigo Bianchi      PDMR               7,561          0              7,561 
-------------------  -----------------  -------------  -------------  ---------- 
 John Campo           PDMR               6,604          6,604          0 
-------------------  -----------------  -------------  -------------  ---------- 
 Bradley Cannon       PDMR               3,930          2,510          1,420 
-------------------  -----------------  -------------  -------------  ---------- 
 Michael Frazzette    PDMR               8,944          3,388          5,556 
-------------------  -----------------  -------------  -------------  ---------- 
 Elga Lohler          PDMR               3,962          2,907          1,055 
-------------------  -----------------  -------------  -------------  ---------- 
 Cyrille Petit        PDMR               5,976          2,819          3,157 
-------------------  -----------------  -------------  -------------  ---------- 
 Matthew Stober       PDMR               5,976          1,641          4,335 
-------------------  -----------------  -------------  -------------  ---------- 
 Glenn Warner         PDMR               7,307          2,281          5,026 
-------------------  -----------------  -------------  -------------  ---------- 
 

4. VESTING ON 7 MARCH 2017 OF 2014 SMITH & NEPHEW GLOBAL SHARE PLAN (PERFORMANCE SHARE AWARDS):

The awards were granted under the Global Share Plan 2010 on 7 March 2014 and as announced on 13 February 2017, vested at 8% of maximum and settled on 7 March 2017. A minimum number of ordinary Shares were sold to cover taxation obligations arising on the vesting of the awards. The number of shares acquired includes the dividend equivalent shares which participants receive on vested shares.

 
                                         Number         Number of      Shares 
                                          of Ordinary    Ordinary       Retained 
                                          Shares         Shares sold 
                                          acquired       at GBP12.22 
 Name                 Director/PDMR                      per share 
-------------------  -----------------  -------------  -------------  ---------- 
                      Chief Executive 
 Olivier Bohuon        Officer           15,131         7,135          7,996 
-------------------  -----------------  -------------  -------------  ---------- 
 Rodrigo Bianchi      PDMR               3,470          0              3,470 
-------------------  -----------------  -------------  -------------  ---------- 
 John Campo           PDMR               3,217          3,217          0 
-------------------  -----------------  -------------  -------------  ---------- 
 Bradley Cannon       PDMR               1,701          1,226          475 
-------------------  -----------------  -------------  -------------  ---------- 
 Michael Frazzette    PDMR               3,686          1,397          2,289 
-------------------  -----------------  -------------  -------------  ---------- 
 Elga Lohler          PDMR               1,150          827            323 
-------------------  -----------------  -------------  -------------  ---------- 
 Cyrille Petit        PDMR               3,022          1,426          1,596 
-------------------  -----------------  -------------  -------------  ---------- 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                   Olivier Bohuon 
======  =====================================  =========================================== 
 2       Reason for the notification 
 a)      Position/status                        Chief Executive Officer 
======  =====================================  =========================================== 
 b)      Initial notification                   Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                   Smith & Nephew plc 
 b)      LEI                                    213800ZTMDN8S67S1H61 
======  =====================================  =========================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             21,569         GBP263,492.30 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          21,569         GBP263,492.30 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             17,032         GBP208,067.17 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          17,032         GBP208,067.17 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             15,131         GBP184,844.08 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          15,131         GBP184,844.08 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             13,299         GBP163,976.67 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             13,299         GBP163,976.67 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Rodrigo Bianchi 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             3,286          GBP40,142.60 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          3,286          GBP40,142.60 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             7,561          GBP92,367.07 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          7,561          GBP92,367.07 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             3,470          GBP42,390.39 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          3,470          GBP42,390.39 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             8,180          GBP100,859.40 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             8,180          GBP100,859.40 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      John Campo 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             6,703          GBP81,885.52 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          6,703          GBP81,885.52 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             6,604          GBP80,676.12 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          6,604          GBP80,676.12 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             3,217          GBP39,299.68 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          3,217          GBP39,299.68 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             5,613          GBP69,208.29 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             5,613          GBP69,208.29 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Bradley Cannon 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             3,990          GBP48,742.84 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          3,990          GBP48,742.84 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             3,930          GBP48,009.86 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          3,930          GBP48,009.86 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             1,701          GBP20,779.84 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          1,701          GBP20,779.84 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             3,675          GBP45,312.75 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             3,675          GBP45,312.75 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Michael Frazzette 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             7,681          GBP93,833.02 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          7,681          GBP93,833.02 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             8,944          GBP109,262.14 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          8,944          GBP109,262.14 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             3,686          GBP45,029.10 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625             3,686       GBP45,029.10 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             7,076          GBP87,247.08 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             7,076          GBP87,247.08 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Elga Lohler 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             3,000          GBP36,648.75 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          3,000          GBP36,648.75 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             3,962          GBP48,400.78 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          3,962          GBP48,400.78 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             1,150          GBP14,048.69 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          1,150          GBP14,048.69 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             3,099          GBP38,210.67 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             3,099          GBP38,210.67 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Cyrille Petit 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Final vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2014 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             6,298          GBP76,937.94 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          6,298          GBP76,937.94 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             5,976          GBP73,004.31 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          5,976          GBP73,004.31 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of         Financial       Identification       Place of       Currency 
    Transaction     Instrument      Code                 Transaction 
  --------------  --------------  -------------------  -------------  -------------- 
   2017 - 03       Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07            Nephew                               Exchange       Pound 
                    plc Ordinary 
                    Shares 
                    of USD 
                    0.20 each 
  --------------  --------------  -------------------  -------------  -------------- 
   Nature of                       Price                Volume         Total 
    Transaction: 
    Vesting 
    of Smith 
    & Nephew 
    Global Share 
    Plan 2010 
    Performance 
    Share Awards 
    granted 
    on 7 March 
    2014 
  --------------  --------------  -------------------  -------------  -------------- 
                                   GBP12.22             3,022          GBP36,917.51 
  --------------  --------------  -------------------  -------------  -------------- 
                   Aggregated      GBP12.21625          3,022          GBP36,917.51 
  --------------  --------------  -------------------  -------------  -------------- 
 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             5,639          GBP69,528.87 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             5,639          GBP69,528.87 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Matthew Stober 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             5,976          GBP73,004.31 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          5,976          GBP73,004.31 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 
 
 1       Details of the person discharging managerial 
          responsibilities/person closely associated 
 a)      Name                                      Glenn Warner 
======  ========================================  ======================================== 
 2       Reason for the notification 
 a)      Position/status                           PDMR 
======  ========================================  ======================================== 
 b)      Initial notification                      Initial Notification 
          /Amendment 
 3       Details of the issuer, emission allowance 
          market participant, auction platform, auctioneer 
          or auction monitor 
======  ================================================================================== 
 a)      Name                                      Smith & Nephew plc 
 b)      LEI                                       213800ZTMDN8S67S1H61 
======  ========================================  ======================================== 
 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 
  Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 07              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 7 March 
    2016 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.22             7,307          GBP89,264.14 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.21625          7,307          GBP89,264.14 
  ----------------  --------------  -------------------  -------------  -------------- 
   Date of           Financial       Identification       Place of       Currency 
    Transaction       Instrument      Code                 Transaction 
  ----------------  --------------  -------------------  -------------  -------------- 
   2017 - 03         Smith &         ISIN: GB0009223206   London Stock   GBP - British 
    - 09              Nephew                               Exchange       Pound 
                      plc Ordinary 
                      Shares 
                      of USD 
                      0.20 each 
  ----------------  --------------  -------------------  -------------  -------------- 
   Nature of                         Price                Volume         Total 
    Transaction: 
    Partial 
    vesting 
    of Equity 
    Incentive 
    Awards granted 
    on 9 March 
    2015 under 
    the Smith 
    & Nephew 
    Global Share 
    Plan 2010 
  ----------------  --------------  -------------------  -------------  -------------- 
                                     GBP12.33             3,372          GBP41,576.76 
  ----------------  --------------  -------------------  -------------  -------------- 
                     Aggregated      GBP12.33             3,372          GBP41,576.76 
  ----------------  --------------  -------------------  -------------  -------------- 
========================================================================================== 
 

Tony Llewellyn

Deputy Company Secretary

Smith & Nephew plc

Tel: 01923 477320

This information is provided by RNS

The company news service from the London Stock Exchange

END

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March 10, 2017 11:20 ET (16:20 GMT)

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