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PAYPOINT PLC

Net Asset Value Jun 7, 2021

4832_dirs_2021-06-07_49f39d65-cccc-4eb0-8cf2-f07c5f06f870.html

Net Asset Value

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National Storage Mechanism | Additional information

7 June 2021

PAYPOINT PLC (THE ‘COMPANY’)

NOTIFICATION OF DIRECTOR/PDMR SHAREHOLDINGS

PAYPOINT PLC DEFERRED BONUS PLAN

The Company announces that, in accordance with the rules of the PayPoint plc Deferred Bonus Plan, following the completion of the three-year holding period, nil cost share options granted on 4 June 2018 were automatically exercised on 4 June 2021 by participants who have remained in the employment of the Company for the duration of the deferral period. Accordingly, the Persons Discharging Managerial Responsibility (‘PDMRs’) listed below have become the legal and beneficial owners of ordinary shares of the Company (‘shares’) as detailed below.

The midmarket value of the shares on the dealing day prior to the date of exercise was 604.5 pence per share.

PDMRs Awards granted Dividend awards accrued during deferral period Total awards exercised Number of shares sold @ 601 pence per share to cover taxes due Balance of shares retained
Alan Dale 709 232 941 448 493
Simon Coles 859 281 1,140 541 599
Katy Wilde 1,357 444 1,801 852 949

Enquiries:

PayPoint plc           

Sarah Carne, Company Secretary              

+44(0)1707 600300 

LEI: 5493004YKWI8U0GDD138

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