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PAYPOINT PLC

Net Asset Value Oct 27, 2022

4832_rns_2022-10-27_a9d0b1fb-133b-419a-adc3-e7618554b0f2.html

Net Asset Value

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National Storage Mechanism | Additional information

BLOCK LISTING SIX MONTHLY RETURN

(Note: Italicised terms have the same meaning as given in the Listing Rules.)

Name of applicant: PayPoint Plc
Name of scheme: a. PayPoint plc Share Incentive Plan



b. PayPoint plc Deferred Bonus Plan



c. PayPoint plc Long Term Incentive Plan



d. PayPoint Restricted Share Plan
Period of return: From: 27/04/2022 To: 26/10/2022
Balance of unallotted securities under scheme(s) from previous return: 1. 440,669 ordinary shares of 1/3p each
2. 276,847ordinary shares of 1/3p each
3. 157,903 ordinary shares of 1/3p each
4. 388,230 ordinary shares of 1/3p each
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for): 1. Nil
2. Nil
3. Nil
4. Nil
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G): 1. 9,096 ordinary shares of 1/3p each
2. 20,542
3. Nil
4. 27,357 ordinary shares of 1/3p each
Equals: Balance under scheme(s) not yet issued/allotted at end of period: 1. 431,573 ordinary shares of 1/3p each
2. 257,331 ordinary shares of 1/3p each
3. 157,903 ordinary shares of 1/3p each
4. 360,873 ordinary shares of 1/3p each

Enquiries:

Brian McLelland

Company Secretary

PayPoint Plc

LEI: 5493004YKWI8U0GDD138

Tel: +44 (0)7721211100

-ends-

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