Director's Dealing • Apr 4, 2018
Director's Dealing
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National Storage Mechanism | Additional information
RNS Number : 8564J
Ashmore Group PLC
04 April 2018
Notification of dealing form
Persons Discharging Manager Responsibilities (PDMR) Notification
PDMR Notification Form Page
Mandatory fields are denoted by an *
1 - Details of the person discharging managerial responsibilities / person closely associated
Must complete either for a natural person or a legal person. If completing for a legal person, please include the legal form as provided for in the register where it is incorporated, if applicable.
First Name(s)
Last Name(s)
Name of natural person *
Anne
Pringle
or
Legal Person *
2 - Reason for the notification
Must complete either for a natural person or a legal person. If completing for a legal person, please include the legal form as provided for in the register where it is incorporated, if applicable.
For persons discharging managerial responsibilities: the position occupied within the issuer,should be indicated e.g. CEO, CFO.
For persons closely associated with:
· An indication that the notification concerns a person closely associated with a person discharging managerial responsibilities;
· Name and position of - the relevant person discharging managerial responsibilities
Position/status *
Non- Executive Director
Initial notification / Amendment *
Initial notification
In case of amendment, please enter the previous notification reference number and explain the error that this notification is amending.
3 - Details of the issuer:
Ashmore Group plc
LEI: 549300U3L59WB4YI2X12
Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) each type of transaction; (iii) each date; (iv) each place where transactions have been conducted.
Add Transaction(s)
Transaction(s) summary table
Date
Description of Financial Transaction
Aggregated
Price
Aggregated
Volume
Total
Aggregated
Volume
04/04/2018
Purchase of shares via automatic reinvestment of dividend
GBP 3.7708
46
46
Add Transaction(s)
Mandatory fields are denoted by an *
Description of the financial instrument, type of instrument *
Ordinary shares of 0.01p each
Identification Code *
GB00B132NW22
Nature of transaction *
Purchase of shares via dividend re-investment
Currency *
GBP
Prices(s) and volumes(s) *
46 shares at GBP 3.7708 per share.
Where more than one transaction of the same nature (purchases, sales, lendings, borrows, …) on the same financial instrument or emission allowance are executed on the same day and on the same place of transaction, prices and volumes of these transactions shall be reported in this field, in a two columns form as presented above, inserting as many lines as needed.
| Price | Volume | Total |
|---|---|---|
| 3.7708 | 46 | 173.46 |
Using the data standards for price and quantity, including where applicable the price currency and the quantity currency, as defined under Commission Delegated Regulation supplementing Regulation (EU) No 600/2014 of the European Parliament and of the Council with regard to regulatory technical standards for the reporting of transactions to competent authorities adopted under Article 26 of Regulation (EU) No 600/2014.
Aggregated Information
| Price | Volume | Total |
|---|---|---|
| 3.7708 | 46 | 173.46 |
Date of Transaction *
4 April 2018
Date of the particular day of execution of the notified transaction. Using the ISO 8601 date format: YYYY-MM-DD; Date of trade in UTC time
Place of transaction *
Name and code to identify the MiFID trading venue, the systematic internaliser or the organised trading platform outside of the Union where the transaction was executed as defined under Commission Delegated Regulation supplementing Regulation (EU) No 600/2014 of the European Parliament and of the Council with regard to regulatory technical standards for the reporting of transactions to competent authorities adopted under Article 26 of Regulation (EU) No 600/2014, or if the transaction was not executed on any of the above mentioned venues, please mention 'outside a trading venue'.
London Stock Exchange - XLON
This information is provided by RNS
The company news service from the London Stock Exchange
END
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