TIDMPVCS

RNS Number : 6122Y

PV Crystalox Solar PLC

18 May 2016

Notification of Transactions of Directors/Persons Discharging Managerial Responsibility and Connected Persons

 
                                                  State whether the notification 
                                                   relates to (i) a 
                                                   transaction notified in 
                                                   accordance with DTR 3.1.2 
                                                   R, 
                                                   (ii) a disclosure made in 
       Name of the issuer                          accordance 
                                                   LR 9.8.6R(1) or 
                                                   (iii) a disclosure made 
                                                   in accordance with section 
                                                   793 of the Companies Act 
                                                   (2006). 
 
                                                   THE NOTIFICATION RELATES 
                                                   TO A TRANSACTION NOTIFIED 
                                                   IN ACCORDANCE WITH DTR 3.1.2 
 1.     PV CRYSTALOX SOLAR PLC              2.     R 
----  -----------------------------------  ----  -------------------------------------------------- 
 
 3.    Name of person discharging           4.    State whether notification 
        managerial                                 relates to a person 
        responsibilities/director                  connected with a person 
                                                   discharging managerial responsibilities/director 
                                                   named in 3 and identify 
                                                   the connected person 
 
                                                   N/A 
        MR PAUL KIRK 
----  -----------------------------------  ----  -------------------------------------------------- 
 
       Indicate whether the notification 
        is in respect of a holding                Description of shares (including 
        of the person referred to                  class), debentures or derivatives 
        in 3 or 4 above or in respect              or financial instruments 
        of a nonbeneficial                         relating to shares 
        interest 1 
 
        IN RESPECT OF PDMR NAMED 
 5.     IN 3                                6.     ORDINARY SHARES OF 2P 
----  -----------------------------------  ----  -------------------------------------------------- 
 
                                                  State the nature of the 
                                                   transaction 
 
 
       Name of registered shareholders(s) 
        and, if more than one, the                 TRANSFER OF SHARES FROM 
        number of shares held by                   EMPLOYEE BENEFIT TRUST DUE 
        each of them                               TO VESTING OF SHARES ON 
                                                   31 MARCH 2016 AWARDED UNDER 
 7.     NOT NOTIFIED                        8.     SHARE AWARD BONUS PLAN 
----  -----------------------------------  ----  -------------------------------------------------- 
 
       Number of shares, debentures               Percentage of issued class 
        or financial                               acquired (treasury shares 
        instruments relating to                    of that class should not 
        shares acquired                            be taken into account when 
                                                   calculating percentage) 
 
 9.     275,000                             10.    0.172% 
----  -----------------------------------  ----  -------------------------------------------------- 
 
       Number of shares, debentures               Percentage of issued class 
        or financial                               disposed (treasury shares 
        instruments relating to                    of that class should not 
        shares disposed                            be taken into account when 
                                                   calculating percentage) 
 
 11.    N/A                                 12.    N/A 
----  -----------------------------------  ----  -------------------------------------------------- 
 
       Price per share or value 
        of transaction 
                                                  Date and place of transaction 
        AVERAGE CLOSING PRICE ON 
        31 MARCH 2016                              11 MAY 2016 
 13.    11.125p                             14.    LONDON STOCK EXCHANGE 
----  -----------------------------------  ----  -------------------------------------------------- 
 
       Total holding following                    Date issuer informed of 
        notification and total percentage          transaction 
        holding following notification 
        (any treasury shares should 
        not be taken into account 
        when calculating percentage) 
 
 15.    326,538 (0.204%)                    16.    16 MAY 2016 
----  -----------------------------------  ----  -------------------------------------------------- 
 
 

If a person discharging managerial responsibilities has been granted options by the issuer complete the following boxes

 
                                          Period during which 
 17.   Date of grant                18.    or date on which exercisable 
----  ---------------------------  ----  ------------------------------ 
 
       Total amount paid                  Description of shares 
        (if any) for grant                 or debentures involved 
 19.    of the option               20.    (class and number) 
----  ---------------------------  ----  ------------------------------ 
 
       Exercise price (if 
        fixed at time of grant) 
        or                                Total number of shares 
        indication that price              or debentures over 
        is to be fixed at                  which options held 
 21.    the time of exercise        22.    following notification 
----  ---------------------------  ----  ------------------------------ 
 
                                          Name of contact and 
                                           telephone number for 
                                           queries 
 
                                           MATTHEW WETHEY, GROUP 
                                           SECRETARY 
 23.   Any additional information   24.    01235 437160 
----  ---------------------------  ----  ------------------------------ 
 
 
 
 Name of authorised official of issuer responsible 
  for making notification 
 
  MATTHEW WETHEY 
  GROUP SECRETARY 
 
  Date of notification 18 MAY 2016 
-------------------------------------------------- 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

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May 18, 2016 06:37 ET (10:37 GMT)

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