TIDMSTAN
RNS Number : 4619Z
Standard Chartered PLC
14 March 2017
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------------
a) Name Bill Winters
(allocated shares held through
Computershare Investor Services
PLC)
--- ------------------------- -----------------------------------
2 Reason for the notification
--- --------------------------------------------------------------
a) Position/status Group Chief Executive
--- ------------------------- -----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Allocation of fixed pay
allowance delivered in the
form of ordinary shares which
are released over a five
year period. Further details
are contained in the directors'
remuneration report in the
2016 Annual Report and Accounts.
iii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
--- ------------------------- -----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ ------ --------
i) 7.413 17,759
------ ------ --------
ii) 7.413 82,220
------ ------ --------
iii) 7.45 592,751
------ ------ --------
--- ------------------------- -----------------------------------
d) Aggregated information Price Volume:
GBP
------ ------ --------
- Aggregated volume i) 7.413 17,759
------ ------ --------
ii) 7.413 82,220
- Price ------ ------ --------
iii) 7.45 592,751
------ ------ --------
--- ------------------------- -----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------------
a) Name Andy Halford
(allocated shares held through
Computershare Investor Services
PLC)
--- ------------------------- -----------------------------------
2 Reason for the notification
--- --------------------------------------------------------------
a) Position/status Group Chief Financial Officer
--- ------------------------- -----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Allocation of fixed pay
allowance delivered in the
form of ordinary shares which
are released over a five
year period. Further details
are contained in the directors'
remuneration report in the
2016 Annual Report and Accounts.
iii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
--- ------------------------- -----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ ------ --------
i) 7.413 10,994
------ ------ --------
ii) 7.413 37,106
------ ------ --------
iii) 7.45 366,954
------ ------ --------
--- ------------------------- -----------------------------------
d) Aggregated information Price Volume:
GBP
------ ------ --------
- Aggregated volume i) 7.413 10,994
------ ------ --------
ii) 7.413 37,106
- Price ------ ------ --------
iii) 7.45 366,954
------ ------ --------
--- ------------------------- -----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Tracy Clarke (allocated shares
held through Computershare
Investor Services PLC)
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status Regional CEO Europe and Americas
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
v) Sale of shares in relation
to the transaction described
in iv) above
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.413 18,873
------ --------- --------
ii) 7.45 106,922
------ --------- --------
iii) N/A 565
------ --------- --------
iv) 7.434383 10,016
------ --------- --------
v) 7.434383 10,016
------ --------- --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.413 18,873
------ --------- --------
ii) 7.45 106,922
- Price ------ --------- --------
iii) N/A 565
------ --------- --------
iv) 7.434383 10,016
------ --------- --------
v) 7.434383 10,016
------ --------- --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Simon Cooper
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status CEO, Corporate and Institutional
Banking
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Grant of award over ordinary
transaction shares vesting in six months
to reflect minimum retention
period
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
----- ------ --------
i) 7.45 92,717
----- ------ --------
ii) 7.45 279,779
----- ------ --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
----- ------ --------
- Aggregated volume i) 7.45 92,717
----- ------ --------
ii) 7.45 279,779
- Price ----- ------ --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Karen Fawcett
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status CEO, Retail Banking
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Grant of award over ordinary
transaction shares vesting in six months
to reflect minimum retention
period
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
v) Sale of shares in relation
to the transaction described
in iv) above
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.45 33,998
------ --------- --------
ii) 7.45 102,590
------ --------- --------
iii) N/A 304
------ --------- --------
iv) 7.434383 5,395
------ --------- --------
v) 7.434383 5,395
------ --------- --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.45 33,998
------ --------- --------
ii) 7.45 102,590
- Price ------ --------- --------
iii) N/A 304
------ --------- --------
iv) 7.434383 5,395
------ --------- --------
v) 7.434383 5,395
------ --------- --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Michael Gorriz
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status Group Chief Information Officer
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Grant of award over ordinary
transaction shares vesting in six months
to reflect minimum retention
period
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
----- ------ --------
i) 7.45 31,278
----- ------ --------
ii) 7.45 94,383
----- ------ --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
----- ------ --------
- Aggregated volume i) 7.45 31,278
----- ------ --------
ii) 7.45 94,383
- Price ----- ------ --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- ---------------------------------------------------------------
a) Name Doris Honold (allocated shares
held through Computershare
Investor Services PLC; retained
exercised shares held through
Standard Chartered Private
Bank)
--- ------------------------- ------------------------------------
2 Reason for the notification
--- ---------------------------------------------------------------
a) Position/status Group Chief Operating Officer
--- ------------------------- ------------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ------------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- ---------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ------------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ------------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ------------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
v) Sale of shares to cover
tax in relation to the transaction
described in iv) above
--- ------------------------- ------------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.413 24,530
------ --------- --------
ii) 7.45 100,671
------ --------- --------
iii) N/A 197
------ --------- --------
iv) 7.434383 3,432
------ --------- --------
v) 7.434383 1,161
------ --------- --------
--- ------------------------- ------------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.413 24,530
------ --------- --------
ii) 7.45 100,671
- Price ------ --------- --------
iii) N/A 197
------ --------- --------
iv) 7.434383 3,432
------ --------- --------
v) 7.434383 1,161
------ --------- --------
--- ------------------------- ------------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ------------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ------------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------------
a) Name Benjamin Hung (allocated
shares held through Computershare
Investor Services PLC; retained
exercised shares held through
Standard Chartered Private
Bank)
--- ------------------------- -----------------------------------
2 Reason for the notification
--- --------------------------------------------------------------
a) Position/status Regional CEO, Greater China
and North Asia
--- ------------------------- -----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
--- ------------------------- -----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.413 29,534
------ --------- --------
ii) 7.45 104,329
------ --------- --------
iii) N/A 76
------ --------- --------
iv) 7.434383 1,355
------ --------- --------
--- ------------------------- -----------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.413 29,534
------ --------- --------
ii) 7.45 104,329
- Price ------ --------- --------
iii) N/A 76
------ --------- --------
iv) 7.434383 1,355
------ --------- --------
--- ------------------------- -----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------------
a) Name Sunil Kaushal (allocated
shares held through Computershare
Investor Services PLC)
--- ------------------------- -----------------------------------
2 Reason for the notification
--- --------------------------------------------------------------
a) Position/status Regional CEO, Africa and
Middle East
--- ------------------------- -----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
--- ------------------------- -----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ ------ --------
i) 7.413 23,295
------ ------ --------
ii) 7.45 69,944
------ ------ --------
iii) N/A 70
------ ------ --------
--- ------------------------- -----------------------------------
d) Aggregated information Price Volume:
GBP
------ ------ --------
- Aggregated volume i) 7.413 23,295
------ ------ --------
ii) 7.45 69,944
- Price ------ ------ --------
iii) N/A 70
------ ------ --------
--- ------------------------- -----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Anna Marrs
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status Regional CEO ASEAN and South
Asia and CEO, Commercial
and Private Banking
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Grant of award over ordinary
transaction shares vesting in six months
to reflect minimum retention
period
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
v) Sale of shares in relation
to the transaction described
in iv) above
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.45 35,746
------ --------- --------
ii) 7.45 179,621
------ --------- --------
iii) N/A 332
------ --------- --------
iv) 7.434383 5,904
------ --------- --------
v) 7.434383 5,904
------ --------- --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.45 35,746
------ --------- --------
ii) 7.45 179,621
- Price ------ --------- --------
iii) N/A 332
------ --------- --------
iv) 7.434383 5,904
------ --------- --------
v) 7.434383 5,904
------ --------- --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- -------------------------------------------------------------
a) Name Mark Smith (allocated shares
held through Computershare
Investor Services PLC)
--- ------------------------- ----------------------------------
2 Reason for the notification
--- -------------------------------------------------------------
a) Position/status Group Chief Risk Officer
--- ------------------------- ----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- ----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- -------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- ----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- ----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- ----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
--- ------------------------- ----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
----- ------ --------
i) 7.413 22,578
----- ------ --------
ii) 7.45 127,912
----- ------ --------
--- ------------------------- ----------------------------------
d) Aggregated information Price Volume:
GBP
----- ------ --------
- Aggregated volume i) 7.413 22,578
----- ------ --------
ii) 7.45 127,912
- Price ----- ------ --------
--- ------------------------- ----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- ----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- ----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------------
a) Name Pamela Walkden (allocated
shares held through Computershare
Investor Services PLC; sold
shares held in own name prior
to disposal)
--- ------------------------- -----------------------------------
2 Reason for the notification
--- --------------------------------------------------------------
a) Position/status Group Head, HR
--- ------------------------- -----------------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------------
b) Nature of the i) Allocation of ordinary
transaction shares subject to a minimum
retention period of six months
ii) Grant of Long Term Incentive
Plan ("LTIP") award under
the 2011 Standard Chartered
Share Plan
iii) Application of notional
dividend shares relating
to dividends declared in
August 2014, March 2015 and
August 2015 to deferred shares
granted under the 2011 Standard
Chartered Share Plan in March
2014
iv) Exercise of share awards
granted in March 2014 under
the 2011 Standard Chartered
Share Plan, including notional
dividends under the transaction
described above
v) Sale of shares in relation
to the transaction described
in iv) above
vi) Disposal of shares
--- ------------------------- -----------------------------------
c) Price(s) and volume(s) Price Volume:
GBP
------ --------- --------
i) 7.413 14,692
------ --------- --------
ii) 7.45 83,235
------ --------- --------
iii) N/A 210
------ --------- --------
iv) 7.434383 3,731
------ --------- --------
v) 7.434383 3,731
------ --------- --------
vi) 7.37861 15,000
------ --------- --------
--- ------------------------- -----------------------------------
d) Aggregated information Price Volume:
GBP
------ --------- --------
- Aggregated volume i) 7.413 14,692
------ --------- --------
ii) 7.45 83,235
- Price ------ --------- --------
iii) N/A 210
------ --------- --------
iv) 7.434383 3,731
------ --------- --------
v) 7.434383 3,731
------ --------- --------
vi) 7.37861 15,000
------ --------- --------
--- ------------------------- -----------------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------------
1 Details of the person discharging managerial
responsibilities / person closely associated
--- --------------------------------------------------------
a) Name José Viñals
(shares held through Bankia
Banca Privada)
--- ------------------------- -----------------------------
2 Reason for the notification
--- --------------------------------------------------------
a) Position/status Chairman
--- ------------------------- -----------------------------
b) Initial notification Initial
/Amendment
--- ------------------------- -----------------------------
3 Details of the issuer, emission allowance
market participant, auction platform, auctioneer
or auction monitor
--- --------------------------------------------------------
a) Name Standard Chartered PLC
--- ------------------------- -----------------------------
b) LEI U4LOSYZ7YG4W3S5F2G91
--- ------------------------- -----------------------------
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 Ordinary Shares of US$0.50
the financial each
instrument, type
of instrument
ISIN: GB0004082847
Identification
code
--- ------------------------- -----------------------------
b) Nature of the Purchase of shares
transaction
--- ------------------------- -----------------------------
c) Price(s) and volume(s) Price GBP Volume:
---------- --------
7.389 6,500
---------- --------
--- ------------------------- -----------------------------
d) Aggregated information Price GBP Volume:
---------- --------
7.389 6,500
- Aggregated volume ---------- --------
- Price
--- ------------------------- -----------------------------
e) Date of the transaction 13 March 2017
--- ------------------------- -----------------------------
f) Place of the transaction XLON London Stock Exchange
--- ------------------------- -----------------------------
This information is provided by RNS
The company news service from the London Stock Exchange
END
DSHEZLFFDXFXBBV
(END) Dow Jones Newswires
March 14, 2017 12:20 ET (16:20 GMT)
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