AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Vilkyskiu Pienine

Director's Dealing Apr 11, 2011

2260_dirs_2011-04-11_b70ab106-7fea-4a94-8602-e2c5912184cb.pdf

Director's Dealing

Open in Viewer

Opens in native device viewer

2011 04 11 Date of the notification

Notification on the transactions in issuer's securities concluded by the manager of the issuer or the person closely associated with the manager of the issuer

"Finasta Infinity fund", ISIN LTIF00000252. managed by UAB "Finasta Asset Management"

(legal entity, related with issuer's member of the board Andrej Cyba)

(name, last name, capacity of the manager of the issuer, with whom the notifying person is closely associated)

AB "Vilkyškių pieninė", idenctification code 277160980, Vilkyškiai, Pagėgių municipality (name and code of the issuer, its registered office address)

Name and class
of the securities,
ISIN code
Num
ber
of the
secur
ities
Price of
the
securiti
es,
EUR
Total value
of the trans-
action, EUR
Form of the
transaction
(acquisition,
transfer)
Type of the
transaction
Date of the
trans-action
Place
of the
trans-
action*
Form of
settlement
Categor
y of the
notifyin
g
person*
AB
Vilkyškių
pieninė, PVA,
LT0000127508
6799 1,620 11.014,38 transfer Sale 2011.04.07 AUTO cash 2.4
Vilkyškių
AB
pieninė, PVA,
LT0000127508
2000 1,620 3.240,00 transfer Sale 2011.04.07 AUTO cash 2.4
AB Vilkyškių
pieninė, PVA,
LT0000127508
801 1,620 1.297,62 transfer Sale 2011.04.07 AUTO cash 2.4
AB Vilkyškių
pieninė, PVA,
LT0000127508
200 1,650 330,00 transfer Sale 2011.04.07 AUTO cash 2.4
AB Vilkyškių
pieninė, PVA,
LT0000127508
200 1,655 331,00 transfer Sale 2011.04.07 AUTO cash 2.4

Sulvi Manager of the issuer

(name, last pame) (signature)

and (or) a persons responsible for the securities accounting (name, last name) (signature)

AUTO - automated trade concluded on a regulated market or multilateral trading facility TS - a negotiated deal concluded on a regulated market or multilateral trading facility XOFF - trade concluded over the counter

** In the box "Person's category" a reference number identifying the person shall be indicated.

  1. A person discharging managerial responsibilities

with the issuer (as defined in item 5.1 of the Rules):

1.1. Manager of the issuer;

  • 1.2. Member of the Board;
  • 1.3. Member of the Supervisory Board;

1.4. Other employee.

  1. Persons closely related to the person discharging managerial responsibilities with the issuer:

  2. 2.1. Spouse, partner;

  3. 2.2. Child, foster child:
  4. 2.3. Relative;
  5. 2.4. Legal person.

Talk to a Data Expert

Have a question? We'll get back to you promptly.