TIDMHSBA

RNS Number : 8111M

HSBC Holdings PLC

10 January 2019

HSBC HOLDINGS PLC

10 January 2019

Notification of Transactions by a Person Discharging Managerial Responsibilities ("PDMR") and a Person Closely Associated with a PDMR

John Flint reported to HSBC Holdings plc that he had been advised by his investment manager on 8 January 2019 that 5,439 HSBC Holdings plc ordinary shares of US$0.50 (the "Holding") acquired during 2018 within a discretionary portfolio structure in which he has an investment jointly with his spouse and closely associated person, Lilian Flint, should be categorised as a beneficial holding in his and Mrs Flint's name. The transactions within the Holding were executed on an entirely discretionary basis by the investment manager and are set out below.

 
 Date             Number of shares purchased   Price 
 6 June 2018      4,836                        GBP7.2810 
                 ---------------------------  ---------- 
 30 August 2018   603                          GBP6.8220 
                 ---------------------------  ---------- 
 

The following disclosures are made in accordance with Article 19 of the EU Market Abuse Regulation 596/2014.

 
 1 - Details of the person discharging managerial responsibilities / 
  person closely associated 
   Name of natural person   John Flint 
 2 - Reason for the notification 
   Position/status                  Group Chief Executive 
 
    Initial notification/amendment   Initial Notification 
 3 - Details of the issuer, emission allowance market participant, auction 
  platform, auctioneer or 
  auction monitor 
   Full name of the entity   HSBC Holdings plc 
 
    Legal Entity Identifier   MLU0ZO3ML4LN2LL2TL39 
     code 
 
 
 4 - Details of the transaction(s) 
 
   Transaction(s) summary table 
 
       Date of       Financial    Identification       Place of Transaction    Currency 
       Transaction   Instrument    Code 
       2018-06-06    Ordinary     GB0005405286         London Stock            GBP - 
                     shares of                          Exchange,              British 
                     US$0.50                            Main Market            Pound 
                     each                               (XLON) 
      ------------  -----------  -------------------  ----------------------  ------------- 
       Nature of Transaction:                   Price            Volume        Total 
 
        Acquisition 
      -------------------------  ------------  ---------------  ------------  ------------- 
                                                GBP7.28          4,836         GBP35,210.92 
      ------------  -----------  ------------  ---------------  ------------  ------------- 
                                  Aggregated    GBP7.281         4,836         GBP35,210.92 
      ------------  -----------  ------------  ---------------  ------------  ------------- 
 
 
       Date of       Financial     Identification       Place of Transaction    Currency 
       Transaction    Instrument    Code 
       2018-08-30    Ordinary      GB0005405286         London Stock            GBP - 
                     shares of                           Exchange,              British 
                     US$0.50                             Main Market            Pound 
                     each                                (XLON) 
      ------------  ------------  -------------------  ----------------------  ------------ 
       Nature of Transaction:                    Price            Volume        Total 
 
        Acquisition 
      --------------------------  ------------  ---------------  ------------  ------------ 
                                                 GBP6.82          603           GBP4,113.67 
      ------------  ------------  ------------  ---------------  ------------  ------------ 
                                   Aggregated    GBP6.822         603           GBP4,113.67 
      ------------  ------------  ------------  ---------------  ------------  ------------ 
 

For any queries related to this notification, please contact:

Lee Davis

Shareholder Services

+44 20 7991 3048

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

END

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January 10, 2019 13:00 ET (18:00 GMT)

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