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PAYPOINT PLC

Net Asset Value Sep 30, 2022

4832_dirs_2022-09-30_dcba90df-9429-46ef-bfcb-69d4dc648c56.html

Net Asset Value

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National Storage Mechanism | Additional information

PayPoint plc ("the Company")

As a result of transactions on 30th September 2022 by the PayPoint plc Share Incentive Plan (a HM Revenue & Customs approved all employee share purchase plan), the executive directors and persons discharging management responsibility of the Company have the following interests as a result of their personal participation in the Plan:

Dividend Shares Award Date: 30/09/2022

Allotment Price:



£5.769127
Total number of Partnership, Matching and Dividend Shares held on 30/09/2022
Simon Coles 39 2,552
Katy Wilde 64 4,208
Alan Dale 39 2,640
Benjamin Ford 17 1,124
Nicholas Wiles 15 1,034
Mark Latham 9 574
Tanya Murphy 10 665
Christopher Paul 46 3,018
Jay Payne 27 1,825
Jo Toolan 62 4,121
Stephen O’Neill 1 123
Anna Holness 1 123

In accordance with the rules of the Plan the persons named above have been awarded Dividend Shares.

Enquiries:

PayPoint Plc

Brian McLelland

Company Secretary

07721211100

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