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3i Group PLC

Remuneration Information Jun 2, 2023

4732_dirs_2023-06-02_58f1ecc2-bbe7-4f2e-bfa7-f238350a931d.html

Remuneration Information

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National Storage Mechanism | Additional information

RNS Number : 5493B

3i Group PLC

02 June 2023

Market Abuse Regulation

MAR Article 19

On 2 June 2023, 3i Group plc (the "Company") was notified of the following.  

On 1 June 2023 share awards under the 3i Group Deferred Bonus Plan (the "Plan") held by the persons discharging managerial responsibilities ("PDMRs") named in the table below vested.  On that date the Shares shown in the column headed "Shares acquired" ceased to be subject to restrictions under the Plan.  The Shares (if any) shown in the column headed "Shares sold" were sold on 1 June 2023 at a price of £19.32830 per share.

PDMR Shares acquired Shares sold
S A Borrows 109,500 0
K J Dunn 47,799 22,516
J H Halai 12,901 6,081
J Hatchley 50,749 18,951
J Marie 12,494 5,890
S Moseley 218,448 102,825
B Sottomayor 43,584 20,531
On 1 June 2023 cash settled awards vesting under the Plan (under which a bonus is paid by reference to a number of notional Shares) held by the PDMRs named in the table below became payable.  On that date a bonus became payable in respect of a number of notional Shares shown in the column headed "Notional Shares vesting" based on a value equivalent to the price per share shown in the column headed "Price per share"
PDMR Notional Shares vesting Price per share
R Collins 11,790 £19.220
19,888 £19.555
P De Jong 2,348 £19.220
22,464 £19.555
P Wirtz 2,348 £19.220
22,464 £19.555

The place of these transactions was the London Stock Exchange.

Ends 

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