TIDMHSBA

RNS Number : 8745E

HSBC Holdings PLC

15 March 2022

HSBC HOLDINGS PLC

15 March 2022

Notification of Transactions by Persons Discharging Managerial Responsibilities ("PDMRs")

   1.   Annual Incentive awards (Performance Year 2016) 

Deferred awards (the "Awards") of US$0.50 ordinary shares (the "Shares") in HSBC Holdings plc (the "Company") were granted in 2017 as a part of variable pay for the performance year ended 31 December 2016.

On 14 March 2022, tranches of the Awards granted in 2017 vested and the following transactions took place in London:

Directors

 
    Name       Additional Shares     Total number        Number of Shares 
                 issued in lieu     of Shares vested    sold at GBP4.877169 
                 of the second                             per Share(2) 
                interim dividend 
                  for 2021(1) 
 Noel Quinn           455               18,229                8,568 
              ------------------  ------------------  --------------------- 
 

Other PDMRs

 
      Name         Additional Shares     Total number        Number of Shares 
                     issued in lieu     of Shares vested    sold at GBP4.877169 
                     of the second                             per Share(2) 
                    interim dividend 
                      for 2021(1) 
   Colin Bell             338               13,536                6,362 
                  ------------------  ------------------  --------------------- 
    Pam Kaur              348               13,921                6,543 
                  ------------------  ------------------  --------------------- 
   Nuno Matos             324               12,969                4,223 
                  ------------------  ------------------  --------------------- 
  Stephen Moss            379               15,175                5,551 
                  ------------------  ------------------  --------------------- 
 Surendra Rosha           259               10,369                1,556 
                  ------------------  ------------------  --------------------- 
   Ian Stuart             297               11,864                5,577 
                  ------------------  ------------------  --------------------- 
 

(1) At US$7.02255 per Share, being the average closing price of the Company's Shares on the London Stock Exchange for the five business days between 23 February and 1 March 2022, converted into USD. The additional Shares are included in the 'Total number of Shares vested' number.

(2) Includes shares sold to cover withholding tax.

The PDMRs are required to retain a number of Shares equivalent in value to those that vested under the Awards (net of tax liabilities) for six months from the original vesting date.

   2.   Annual Incentive awards (Performance Year 2018) 

Deferred awards (the "Awards") of US$0.50 ordinary shares (the "Shares") in HSBC Holdings plc (the "Company") were granted in 2019 as a part of variable pay for the performance year ended 31 December 2018.

On 14 March 2022, tranches of the Awards granted in 2019 vested and the following transactions took place in London:

Directors

 
        Name            Total number        Number of Shares 
                       of Shares vested    sold at GBP4.877169 
                                              per Share(1) 
   Noel Quinn(3)           28,117                13,215 
                     ------------------  --------------------- 
 Ewen Stevenson(3)         48,397                22,747 
                     ------------------  --------------------- 
 

Other PDMRs

 
        Name            Total number        Number of Shares 
                       of Shares vested    sold at GBP4.877169 
                                              per Share(1) 
   Colin Bell(3)           18,683                8,781 
                     ------------------  --------------------- 
   Greg Guyett(3)          34,337                16,139 
                     ------------------  --------------------- 
    Pam Kaur(3)            18,655                8,768 
                     ------------------  --------------------- 
   Nuno Matos(3)           26,003                8,933 
                     ------------------  --------------------- 
  Stephen Moss(2)          17,082                5,306 
                     ------------------  --------------------- 
  Barry O'Byrne(2)          9,754                3,801 
                     ------------------  --------------------- 
 Surendra Rosha(2)         11,079                1,662 
                     ------------------  --------------------- 
   Ian Stuart(3)           16,864                7,926 
                     ------------------  --------------------- 
 
   (1)   Includes shares sold to cover withholding tax . 

(2) Required to retain a number of Shares equivalent in value to those that vested under the Awards (net of tax liabilities) for six months from the original vesting date.

(3) Required to retain a number of Shares equivalent in value to those that vested under the Awards (net of tax liabilities) for twelve months from the original vesting date.

   3.   Replacement Awards 

On 14 March 2022, deferred replacement awards (the "Replacement Awards") of US$0.50 ordinary shares (the "Shares") in HSBC Holdings plc (the "Company") that were granted to PDMRs as a result of their HSBC appointments vested and the following transactions took place in London:

Directors

 
        Name            Total number        Number of Shares 
                       of Shares vested    sold at GBP4.877169 
                                              per Share(1) 
 Ewen Stevenson(2)         39,183                18,416 
                     ------------------  --------------------- 
 Ewen Stevenson(3)         35,576                16,721 
                     ------------------  --------------------- 
 

Other PDMRs

 
        Name             Total number        Number of Shares 
                        of Shares vested    sold at GBP4.877169 
                                               per Share(1) 
 Michael Roberts(4)         53,878                27,505 
                      ------------------  --------------------- 
 Michael Roberts(5)         60,096                30,679 
                      ------------------  --------------------- 
 

(1) Includes shares sold to cover withholding tax.

(2) The second tranche of the 28 May 2019 Replacement Award for Performance Year 2016. A six-month retention period will apply.

(3) The second tranche of the 28 May 2019 Replacement Award for Performance Year 2017. A twelve-month retention period will apply.

(4) The final tranche of the 11 November 2019 Replacement Award for Performance Year 2017.

(5) The third tranche of the 11 November 2019 Replacement Award for Performance Year 2018.

For the purpose of the below disclosures, the value of the awards which vested on 14 March 2022 has been calculated using the closing Share price on the London Stock Exchange on 11 March 2022 of GBP4.7965.

The following disclosures are made in accordance with the UK version of the EU Market Abuse Regulation 596/2014.

 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                             Noel Quinn 
 
 2 - Reason for the notification 
 
 Position/status                                    Group Chief Executive 
 
 Initial notification/amendment                     Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                            HSBC Holdings plc 
 
 Legal Entity Identifier code                       MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             USD - United 
                      shares                         Exchange, Main           States Dollar 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisition 
                                                   ------------  ---------  --------------- 
                                                    US$7.02       455        US$3,195.26 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       US$7.023      455        US$3,195.26 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of        Financial       Identification   Place of Transaction     Currency 
     Transaction    Instrument      Code 
   -------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14     Ordinary        GB0005405286     London Stock             GBP - British 
                    shares                           Exchange, Main           Pound 
                    of US$0.50                       Market (XLON) 
                    each 
   -------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                   ------------  ---------  --------------- 
                                                    GBP4.80       46,346     GBP222,298.59 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       GBP4.796      46,346     GBP222,298.59 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Disposal 
                                                   ------------  ---------  --------------- 
                                                    GBP4.88       21,783     GBP106,239.37 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       GBP4.877      21,783     GBP106,239.37 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                             Ewen Stevenson 
 
 2 - Reason for the notification 
 
 Position/status                                    Group Chief Financial Officer 
 
 Initial notification/amendment                     Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                            HSBC Holdings plc 
 
 Legal Entity Identifier code                       MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of        Financial       Identification   Place of Transaction     Currency 
     Transaction    Instrument      Code 
   -------------                  ---------------  -----------------------  -------------- 
    2022-03-14     Ordinary        GB0005405286     London Stock             GBP - British 
                    shares                           Exchange, Main           Pound 
                    of US$0.50                       Market (XLON) 
                    each 
   -------------  --------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 and Replacement 
     Awards 
                                                   ------------  ---------  -------------- 
                                                    GBP4.80       123,156    GBP590,717.75 
                                  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.796      123,156    GBP590,717.75 
   -----------------------------  ---------------  ------------  ---------  -------------- 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Disposal 
                                                   ------------  ---------  -------------- 
                                                    GBP4.88       57,884     GBP282,310.05 
                                  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.877      57,884     GBP282,310.05 
   -----------------------------  ---------------  ------------  ---------  -------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Colin Bell 
 
 2 - Reason for the notification 
 
 Position/status                                      Chief Executive, HSBC Bank plc 
                                                       and HSBC Europe 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
    2022-03-14         Ordinary      GB0005405286     London Stock             USD - United 
                        shares                         Exchange, Main           States Dollar 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisition 
                                                     ------------  ---------  --------------- 
                                                      US$7.02       338        US$2,373.62 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       US$7.023      338        US$2,373.62 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                     ------------  ---------  --------------- 
                                                      GBP4.80       32,219     GBP154,538.43 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.796      32,219     GBP154,538.43 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  --------------- 
                                                      GBP4.88       15,143     GBP73,854.97 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.877      15,143     GBP73,854.97 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                             Greg Guyett 
 
 2 - Reason for the notification 
 
 Position/status                                    Co-Chief Executive, Global Banking 
                                                     and Markets 
 
 Initial notification/amendment                     Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                            HSBC Holdings plc 
 
 Legal Entity Identifier code                       MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisition under 
     the HSBC Share Plan 
     2011 
                                                   ------------  ---------  -------------- 
                                                    GBP4.80       34,337     GBP164,697.42 
                                  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.796      34,337     GBP164,697.42 
   -----------------------------  ---------------  ------------  ---------  -------------- 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Disposal 
                                                   ------------  ---------  -------------- 
                                                    GBP4.88       16,139     GBP78,712.63 
                                  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.877      16,139     GBP78,712.63 
   -----------------------------  ---------------  ------------  ---------  -------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Pam Kaur 
 
 2 - Reason for the notification 
 
 Position/status                                      Group Chief Risk and Compliance 
                                                       Officer 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
    2022-03-14         Ordinary      GB0005405286     London Stock             USD - United 
                        shares                         Exchange, Main           States Dollar 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisition 
                                                     ------------  ---------  --------------- 
                                                      US$7.02       348        US$2,443.85 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       US$7.023      348        US$2,443.85 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                     ------------  ---------  --------------- 
                                                      GBP4.80       32,576     GBP156,250.78 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.796      32,576     GBP156,250.78 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  --------------- 
                                                      GBP4.88       15,311     GBP74,674.33 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.877      15,311     GBP74,674.33 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Nuno Matos 
 
 2 - Reason for the notification 
 
 Position/status                                      Chief Executive, Wealth and Personal 
                                                       Banking 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
    2022-03-14         Ordinary      GB0005405286     London Stock             USD - United 
                        shares                         Exchange, Main           States Dollar 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisition 
                                                     ------------  ---------  --------------- 
                                                      US$7.02       324        US$2,275.31 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       US$7.023      324        US$2,275.31 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                     ------------  ---------  --------------- 
                                                      GBP4.80       38,972     GBP186,929.20 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.796      38,972     GBP186,929.20 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  --------------- 
                                                      GBP4.88       13,156     GBP64,164.04 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.877      13,156     GBP64,164.04 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Stephen Moss 
 
 2 - Reason for the notification 
 
 Position/status                                      Regional Chief Executive, Middle 
                                                       East, North Africa and Turkey 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
    2022-03-14         Ordinary      GB0005405286     London Stock             USD - United 
                        shares                         Exchange, Main           States Dollar 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisition 
                                                     ------------  ---------  --------------- 
                                                      US$7.02       379        US$2,661.55 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       US$7.023      379        US$2,661.55 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                     ------------  ---------  --------------- 
                                                      GBP4.80       32,257     GBP154,720.70 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.796      32,257     GBP154,720.70 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  --------------- 
                                                      GBP4.88       10,857     GBP52,951.42 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.877      10,857     GBP52,951.42 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                             Barry O'Byrne 
 
 2 - Reason for the notification 
 
 Position/status                                    Chief Executive, Global Commercial 
                                                     Banking 
 
 Initial notification/amendment                     Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                            HSBC Holdings plc 
 
 Legal Entity Identifier code                       MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisition under 
     the HSBC Share Plan 
     2011 
   -----------------------------  ---------------  ------------  ---------  -------------- 
                                                    GBP4.80       9,754      GBP46,785.06 
   -------------    ------------  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.796      9,754      GBP46,785.06 
   -------------    ------------  ---------------  ------------  ---------  -------------- 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Disposal 
                                                   ------------  ---------  -------------- 
                                                    GBP4.88       3,801      GBP18,538.12 
                                  ---------------  ------------  ---------  -------------- 
                                   Aggregated       GBP4.877      3,801      GBP18,538.12 
   -----------------------------  ---------------  ------------  ---------  -------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Michael Roberts 
 
 2 - Reason for the notification 
 
 Position/status                                      Chief Executive, HSBC USA and 
                                                       Americas 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the Replacement Awards 
                                                     ------------  ---------  -------------- 
                                                      GBP4.80       113,974    GBP546,676.29 
                                    ---------------  ------------  ---------  -------------- 
                                     Aggregated       GBP4.796      113,974    GBP546,676.29 
   -------------------------------  ---------------  ------------  ---------  -------------- 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
   -----------------  ------------  ---------------  -----------------------  -------------- 
    2022-03-14         Ordinary      GB0005405286     London Stock             GBP - British 
                        shares                         Exchange, Main           Pound 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  -------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  -------------- 
                                                      GBP4.88       58,184     GBP283,773.20 
                                    ---------------  ------------  ---------  -------------- 
                                     Aggregated       GBP4.877      58,184     GBP283,773.20 
   -------------------------------  ---------------  ------------  ---------  -------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                               Surendra Rosha 
 
 2 - Reason for the notification 
 
 Position/status                                      Co-Chief Executive Officer, Asia 
                                                       Pacific - The Hongkong and Shanghai 
                                                       Banking Corporation Limited 
 
 Initial notification/amendment                       Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                              HSBC Holdings plc 
 
 Legal Entity Identifier code                         MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of            Financial     Identification   Place of Transaction     Currency 
     Transaction        Instrument    Code 
    2022-03-14         Ordinary      GB0005405286     London Stock             USD - United 
                        shares                         Exchange, Main           States Dollar 
                        of US$0.50                     Market (XLON) 
                        each 
   -----------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisition 
                                                     ------------  ---------  --------------- 
                                                      US$7.02       259        US$1,818.84 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       US$7.023      259        US$1,818.84 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                     ------------  ---------  --------------- 
                                                      GBP4.80       21,448     GBP102,875.33 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.796      21,448     GBP102,875.33 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial       Identification   Place of Transaction     Currency 
     Transaction      Instrument      Code 
    2022-03-14       Ordinary        GB0005405286     London Stock             GBP - British 
                      shares                           Exchange, Main           Pound 
                      of US$0.50                       Market (XLON) 
                      each 
   ---------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                            Price         Volume     Total 
 
     Disposal 
                                                     ------------  ---------  --------------- 
                                                      GBP4.88       3,218      GBP15,694.73 
                                    ---------------  ------------  ---------  --------------- 
                                     Aggregated       GBP4.877      3,218      GBP15,694.73 
   -------------------------------  ---------------  ------------  ---------  --------------- 
 
 
 
 
 1 - Details of the person discharging managerial responsibilities 
  / person closely associated 
 
 Name of natural person                             Ian Stuart 
 
 2 - Reason for the notification 
 
 Position/status                                    Chief Executive, HSBC UK Bank 
                                                     plc 
 
 Initial notification/amendment                     Initial Notification 
 
 3 - Details of the issuer, emission allowance market participant, 
  auction platform, auctioneer or auction monitor 
 
 Full name of the entity                            HSBC Holdings plc 
 
 Legal Entity Identifier code                       MLU0ZO3ML4LN2LL2TL39 
 
 4 - Details of the transaction(s) 
 
    Transaction(s) summary table 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
    2022-03-14       Ordinary      GB0005405286     London Stock             USD - United 
                      shares                         Exchange, Main           States Dollar 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisition 
                                                   ------------  ---------  --------------- 
                                                    US$7.02       297        US$2,085.70 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       US$7.023      297        US$2,085.70 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of        Financial       Identification   Place of Transaction     Currency 
     Transaction    Instrument      Code 
   -------------  --------------  ---------------  -----------------------  --------------- 
    2022-03-14     Ordinary        GB0005405286     London Stock             GBP - British 
                    shares                           Exchange, Main           Pound 
                    of US$0.50                       Market (XLON) 
                    each 
   -------------  --------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Acquisitions under 
     the HSBC Share Plan 
     2011 
                                                   ------------  ---------  --------------- 
                                                    GBP4.80       28,728     GBP137,793.85 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       GBP4.796      28,728     GBP137,793.85 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
    Date of          Financial     Identification   Place of Transaction     Currency 
     Transaction      Instrument    Code 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    2022-03-14       Ordinary      GB0005405286     London Stock             GBP - British 
                      shares                         Exchange, Main           Pound 
                      of US$0.50                     Market (XLON) 
                      each 
   ---------------  ------------  ---------------  -----------------------  --------------- 
    Nature of Transaction:                          Price         Volume     Total 
 
     Disposal 
                                                   ------------  ---------  --------------- 
                                                    GBP4.88       13,503     GBP65,856.41 
                                  ---------------  ------------  ---------  --------------- 
                                   Aggregated       GBP4.877      13,503     GBP65,856.41 
   -----------------------------  ---------------  ------------  ---------  --------------- 
 
 
 

For any queries related to this notification, please contact:

Bayo Adeyeye

Corporate Governance & Secretariat

+44 (0) 203 359 2160

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March 15, 2022 12:30 ET (16:30 GMT)

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