TIDMKCOM

RNS Number : 9413W

KCOM Group PLC

15 February 2017

KCOM GROUP PLC

Notification and Public Disclosure of Transactions by Persons Discharging Managerial Responsibilities and Persons Closely Associated with Them

 
 1    Details of the person discharging managerial responsibilities / person closely associated 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Name                                                      SEAN ROYCE 
---  --------------------------------------------------------  ------------------------------------------------------- 
 2    Reason for the notification 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Position/status                                           EXECUTIVE VICE PRESIDENT - TECHNOLOGY, SERVICE & 
                                                                OPERATIONS 
---  --------------------------------------------------------  ------------------------------------------------------- 
 b)   Initial notification /Amendment                           INITIAL NOTIFICATION 
---  --------------------------------------------------------  ------------------------------------------------------- 
 3    Details of the issuer, emission allowance market participant, auction platform, auctioneer 
       or auction monitor 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Name                                                      KCOM GROUP PLC 
---  --------------------------------------------------------  ------------------------------------------------------- 
 b)   LEI                                                       213800729CFU6Y8PCD11 
---  --------------------------------------------------------  ------------------------------------------------------- 
 4    Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) 
       each type of transaction; (iii) each date; and (iv) each place where transactions have been 
       conducted 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Description of the financial instrument, type of          INCREASE IN SHARE INTERESTS IN THE COMPANY SHARE 
      instrument                                                INCENTIVE PLAN 
 
      Identification code                                       GB0007448250 
---  --------------------------------------------------------  ------------------------------------------------------- 
 b)   Nature of the transaction                                 THE COMPANY OPERATES AN INLAND REVENUE APPROVED SHARE 
                                                                INCENTIVE PLAN (SIP) WHICH OFFERS ALL 
                                                                EMPLOYEES THE OPPORTUNITY TO PARTICIPATE IN FREE 
                                                                SHARES, PARTNERSHIP SHARES, MATCHING SHARES 
                                                                AND DIVIDEND SHARES. THE TRANSACTIONS BELOW REPRESENT 
                                                                PARTNERSHIP SHARES PURCHASED AND MATCHING 
                                                                SHARES ALLOCATED. 
---  --------------------------------------------------------  ------------------------------------------------------- 
 
 
 c)   Price(s) and volume(s):      Price(s)   Volume(s) 
                                   ---------  ------------------ 
                                     90.85p     165 PARTNERSHIP 
                                                SHARES PURCHASED 
                                                  118 MATCHING 
                                                SHARES ALLOCATED 
                                   ---------  ------------------ 
---  -------------------------  -------------------------------- 
 d)   Aggregated information     TOTAL PARTNERSHIP SHARES: 303 
       - Aggregated volume        TOTAL MATCHING SHARES: 231 
 
       - Price                    PRICE: 90.85p 
---  -------------------------  -------------------------------- 
 e)   Date of the transaction    13 FEBRUARY 2017 
---  -------------------------  -------------------------------- 
 f)   Place of the transaction   LONDON 
---  -------------------------  -------------------------------- 
 
 
 1    Details of the person discharging managerial responsibilities / person closely associated 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Name                              DIANE ROYCE 
---  --------------------------------  ------------------------------------------------------------------------------- 
 2    Reason for the notification 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Position/status                   PCA of SEAN ROYCE, EXECUTIVE VICE PRESIDENT - TECHNOLOGY, SERVICE & OPERATIONS 
---  --------------------------------  ------------------------------------------------------------------------------- 
 b)   Initial notification /Amendment   INITIAL NOTIFICATION 
---  --------------------------------  ------------------------------------------------------------------------------- 
 3    Details of the issuer, emission allowance market participant, auction platform, auctioneer 
       or auction monitor 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Name                              KCOM GROUP PLC 
---  --------------------------------  ------------------------------------------------------------------------------- 
 b)   LEI                               213800729CFU6Y8PCD11 
---  --------------------------------  ------------------------------------------------------------------------------- 
 
 
 4    Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) 
       each type of transaction; (iii) each date; and (iv) each place where transactions have been 
       conducted 
---  ----------------------------------------------------------------------------------------------------------------- 
 a)   Description of the financial instrument, type of          INCREASE IN SHARE INTERESTS IN THE COMPANY SHARE 
      instrument                                                INCENTIVE PLAN 
 
      Identification code                                       GB0007448250 
---  --------------------------------------------------------  ------------------------------------------------------- 
 b)   Nature of the transaction                                 THE COMPANY OPERATES AN INLAND REVENUE APPROVED SHARE 
                                                                INCENTIVE PLAN (SIP) WHICH OFFERS ALL 
                                                                EMPLOYEES THE OPPORTUNITY TO PARTICIPATE IN FREE 
                                                                SHARES, PARTNERSHIP SHARES, MATCHING SHARES 
                                                                AND DIVIDEND SHARES. THE TRANSACTIONS BELOW REPRESENT 
                                                                PARTNERSHIP SHARES PURCHASED AND MATCHING 
                                                                SHARES ALLOCATED. 
---  --------------------------------------------------------  ------------------------------------------------------- 
 c)   Price(s) and volume(s):                                     Price(s)   Volume(s) 
                                                                  ---------  ------------------ 
                                                                    90.85p     138 PARTNERSHIP 
                                                                               SHARES PURCHASED 
                                                                                 113 MATCHING 
                                                                               SHARES ALLOCATED 
                                                                  ---------  ------------------ 
---  --------------------------------------------------------  ------------------------------------------------------- 
 d)   Aggregated information                                    TOTAL PARTNERSHIP SHARES: 303 
       - Aggregated volume                                       TOTAL MATCHING SHARES: 231 
 
       - Price                                                   PRICE: 90.85p 
---  --------------------------------------------------------  ------------------------------------------------------- 
 e)   Date of the transaction                                   13 FEBRUARY 2017 
---  --------------------------------------------------------  ------------------------------------------------------- 
 f)   Place of the transaction                                  LONDON 
---  --------------------------------------------------------  ------------------------------------------------------- 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

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February 15, 2017 04:13 ET (09:13 GMT)

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