RNS Number:5584S
Hardman Resources Limited
27 November 2003





HARDMAN RESOURCES LTD

Ground Floor, 5 Ord Street, West Perth

PO Box 869, West Perth

Western Australia 6872

Tel: +61 8 9321 6881 Fax: +61 8 9321 2375

ABN. 98 009 210 235



STOCK EXCHANGE / MEDIA RELEASE



RELEASE DATE:                 27 November 2003



CONTACT:                       Kathryn Davies (08 9321 6881)



RE:                            NOTICE OF DIRECTOR'S INTERESTS








Please find following Change of Director's Interest Notices for Messrs Ted
Ellyard and Scott Spencer, directors of the Company.



Yours faithfully

HARDMAN RESOURCES LTD









KATHRYN DAVIES

COMPANY SECRETARY AND

CHIEF FINANCIAL OFFICER


                                                                    Rule 3.19A.2

                                  Appendix 3Y



                      Change of Director's Interest Notice



Information or documents not available now must be given to ASX as soon as
available.  Information and documents given to ASX become ASX's property and may
be made public.

Introduced 30/9/2001.


Name of entity                   HARDMAN RESOURCES LTD
ABN                                        98 009 210 235




We (the entity) give ASX the following information under listing rule 3.19A.2
and as agent for the director for the purposes of section 205G of the
Corporations Act.


Name of Director                        EDWARD JOHN ELLYARD

Date of last notice                     21 JANUARY 2002



Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by
the responsible entity of the trust


Direct or indirect interest                        Indirect
Nature of indirect interest                        Jerele Mining Pty Ltd (by itself and as trustee
                                                   for Ellyard Superannuation Fund).
(including registered holder)
                                                   Gulf Mining Pty Ltd.
Note: Provide details of the circumstances giving
rise to the relevant interest.


Date of change                                     21 to 26 November 2003
No. of securities held prior to change             *      3,660,712 Fully Paid Ordinary Shares

                                                   *      3,500,000 Options for Ordinary Shares
                                                   exercisable at 60 cents each on or before 20
                                                   December 2003

                                                   *      2,000,000 Options for Ordinary Shares
                                                   exercisable at $1.10 each on or before 31
                                                   December 2004
Class                                              See above
Number acquired                                    Nil
Number disposed                                    1,000,000 Options for Ordinary Shares exercisable
                                                   at 60 cents each on or before 20 December 2003
Value/Consideration                                Net consideration after exercise of Options and
                                                   sale of Shares is approximately $113,000.
Note: If consideration is non-cash, provide
details and estimated valuation


No. of securities held after change                *      3,660,712 Fully Paid Ordinary Shares

                                                   *      2,500,000 Options for Ordinary Shares
                                                   exercisable at 60 cents each on or before 20
                                                   December 2003

                                                   *      2,000,000 Options for Ordinary Shares
                                                   exercisable at $1.10 each on or before 31
                                                   December 2004
Nature of change                                   On-market trade and exercise of options

Example: on-market trade, off-market trade,
exercise of options, issue of securities under
dividend reinvestment plan, participation in
buy-back



Part 2 - Change of director's interests in contracts


Detail of contract                      -
Nature of interest                      -




Name of registered holder               -

(if issued securities)


Date of change                          -
No. and class of securities to which    -
interest related prior to change

Note: Details are only required for a
contract in relation to which the
interest has changed


Interest acquired                       -
Interest disposed                       -
Value/Consideration                     -

Note: If consideration is non-cash,
provide details and an estimated
valuation


Interest after change                   -






                                                                    Rule 3.19A.2

                                  Appendix 3Y



                      Change of Director's Interest Notice



Information or documents not available now must be given to ASX as soon as
available.  Information and documents given to ASX become ASX's property and may
be made public.

Introduced 30/9/2001.


Name of entity                   HARDMAN RESOURCES LTD
ABN                                        98 009 210 235




We (the entity) give ASX the following information under listing rule 3.19A.2
and as agent for the director for the purposes of section 205G of the
Corporations Act.


Name of Director                        SCOTT SHERWOOD SPENCER

Date of last notice                     2 JANUARY 2002



Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by
the responsible entity of the trust


Direct or indirect interest                        Direct
Nature of indirect interest                        Scott Sherwood Spencer

(including registered holder)

Note: Provide details of the circumstances giving
rise to the relevant interest.


Date of change                                     24 to 27 November 2003
No. of securities held prior to change             *      3,205,652 Fully Paid Ordinary Shares

                                                   *      3,500,000 Options for Ordinary Shares
                                                   exercisable at 60 cents each on or before 20
                                                   December 2003

                                                   *      2,000,000 Options for Ordinary Shares
                                                   exercisable at $1.10 each on or before 31
                                                   December 2004
Class                                              See above
Number acquired                                    NIL
Number disposed                                    1,500,000 Options for Ordinary Shares exercisable
                                                   at 60 cents each on or before 20 December 2003
Value/Consideration                                Net consideration is $120,000.

Note: If consideration is non-cash, provide
details and estimated valuation


No. of securities held after change                *      3,205,652 Fully Paid Ordinary Shares

                                                   *      2,000,000 Options for Ordinary Shares
                                                   exercisable at 60 cents each on or before 20
                                                   December 2003

                                                   *      2,000,000 Options for Ordinary Shares
                                                   exercisable at $1.10 each on or before 31
                                                   December 2004
Nature of change                                   Off-market trade

Example: on-market trade, off-market trade,
exercise of options, issue of securities under
dividend reinvestment plan, participation in
buy-back



Part 2 - Change of director's interests in contracts


Detail of contract                      -
Nature of interest                      -




Name of registered holder               -

(if issued securities)


Date of change                          -
No. and class of securities to which    -
interest related prior to change

Note: Details are only required for a
contract in relation to which the
interest has changed


Interest acquired                       -
Interest disposed                       -
Value/Consideration                     -

Note: If consideration is non-cash,
provide details and an estimated
valuation


Interest after change                   -







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            The company news service from the London Stock Exchange
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