TIDMASHM

RNS Number : 4309Y

Ashmore Group PLC

05 December 2017

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                              Last 
                                       Name(s)                            Name(s) 
 Name of natural                      Dame                               Pringle 
  person *                             Anne 
                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                 Initial notification 
  / Amendment * 
 
 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 
 
                                                                                                           Total 
                               Description of                          Aggregated           Aggregated     Aggregated 
   Date                        Financial Transaction                   Price                Volume         Volume 
                             Purchase of shares 
                              via automatic reinvestment 
   01/12/2017                 of dividend                             GBP 3.7441          121            121 
 
 
 Add Transaction(s) 
                                                                                 Mandatory fields are denoted by an * 
 Description of                       Ordinary shares of 0.01p each 
  the financial 
  instrument, type 
  of instrument 
  * 
 Identification                       GB00B132NW22 
  Code * 
 
 Nature of                            Purchase of shares via dividend 
  transaction                          re-investment 
  * 
 
 Currency *                           GBP 
 
 Prices(s)                            121 shares at GBP 3.7441 per 
  and volumes(s)                       share. 
  * 
 
 Where more than                        Price   Volume   Total 
  one transaction                       ------  -------  ------ 
  of the same nature                     0.00    0.00     0.00 
  (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. 
 
 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                             Price   Volume   Total 
  Information                           ------  -------  ------ 
                                         0.00    0.00     0.00 
                                        ------  -------  ------ 
 
 Date of Transaction                  1 December 2017 
  * 
 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                 London Stock Exchange - XLON 
  * 
  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'. 
 
 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

DSHFSDFSIFWSEIE

(END) Dow Jones Newswires

December 05, 2017 05:57 ET (10:57 GMT)

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