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PAYPOINT PLC

Net Asset Value Jul 27, 2022

4832_dirs_2022-07-27_aad45a12-0e65-4164-ab10-6559f706d72b.html

Net Asset Value

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National Storage Mechanism | Additional information

PayPoint plc ("the Company")

As a result of transactions on 26th July 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: 26/07/2022

Allotment Price:



£5.878705
Total number of Partnership, Matching and Dividend Shares held on 26/07/2022
Simon Coles 35 2433
Katy Wilde 60 4064
Alan Dale 37 2521
Benjamin Ford 14 1027
Nicholas Wiles 13 939
Mark Latham 6 485
Tanya Murphy 7 575
Christopher Paul 42 2892
Jay Payne 25 1718
Jo Toolan 59 3979

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

Enquiries:

PayPoint Plc           

Brian McLelland, Company Secretary              

+44(0)1707 600316 

LEI: 5493004YKWI8U0GDD138

http://corporate.paypoint.com/

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