TIDMBARC

RNS Number : 4096Q

Barclays PLC

18 June 2020

Notification and public disclosure of transactions by persons discharging managerial responsibilities and persons closely associated with them

Barclays Long Term Incentive Plan ("LTIP")

 
 1    Details of the person discharging managerial responsibilities 
       / person closely associated 
 a)   Name                        Jes Staley 
     --------------------------  ------------------------------------------ 
 2    Reason for the notification 
     ---------------------------------------------------------------------- 
 a)   Position/status             Group Chief Executive Officer 
     --------------------------  ------------------------------------------ 
 b)   Initial notification        Initial notification 
       /Amendment 
     --------------------------  ------------------------------------------ 
 3    Details of the issuer, emission allowance market participant, 
       auction platform, auctioneer or auction monitor 
     ---------------------------------------------------------------------- 
 a)   Name                        Barclays PLC 
     --------------------------  ------------------------------------------ 
 b)   LEI                         213800LBQA1Y9L22JB70 
     --------------------------  ------------------------------------------ 
 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          Ordinary shares with a nominal value 
       financial instrument,       of 25 pence each ("Shares") 
       type of instrument 
                                   GB0031348658 
       Identification code 
     --------------------------  ------------------------------------------ 
 b)   Nature of the transaction   On 14 April 2020, the Company announced 
                                   that the vesting of the first portion 
                                   of the 2017 Barclays Long Term Incentive 
                                   Plan ("LTIP") award granted to the Group 
                                   Chief Executive would be delayed from 
                                   June 2020 to 8 March 2021, subject to 
                                   the LTIP rules. To give effect to this, 
                                   the Company has now lapsed that portion 
                                   of the award that would have vested 
                                   in June 2020 and granted an award over 
                                   the same number of Shares, that would 
                                   but for the delay have vested in June 
                                   2020. These Shares will now vest on 
                                   8 March 2021, subject to the LTIP rules. 
     --------------------------  ------------------------------------------ 
 c)   Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                       of Shares received 
                                     GBP1.9545 per 
                                      Share                 163,538 
                                                     -------------------- 
     --------------------------  ------------------------------------------ 
 d)   Aggregated information      Not applicable 
 
       - Aggregated volume 
 
       - Price 
     --------------------------  ------------------------------------------ 
 e)   Date of the transaction     2020-06-16 
     --------------------------  ------------------------------------------ 
 f)   Place of the transaction    Not applicable 
     --------------------------  ------------------------------------------ 
 
 
 1    Details of the person discharging managerial responsibilities 
       / person closely associated 
 a)   Name                        Tushar Morzaria 
     --------------------------  ------------------------------------------ 
 2    Reason for the notification 
     ---------------------------------------------------------------------- 
 a)   Position/status             Group Finance Director 
     --------------------------  ------------------------------------------ 
 b)   Initial notification        Initial notification 
       /Amendment 
     --------------------------  ------------------------------------------ 
 3    Details of the issuer, emission allowance market participant, 
       auction platform, auctioneer or auction monitor 
     ---------------------------------------------------------------------- 
 a)   Name                        Barclays PLC 
     --------------------------  ------------------------------------------ 
 b)   LEI                         213800LBQA1Y9L22JB70 
     --------------------------  ------------------------------------------ 
 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          Ordinary shares with a nominal value 
       financial instrument,       of 25 pence each ("Shares") 
       type of instrument 
                                   GB0031348658 
       Identification code 
     --------------------------  ------------------------------------------ 
 b)   Nature of the transaction   On 14 April 2020, the Company announced 
                                   that the vesting of the first portion 
                                   of the 2017 Barclays Long Term Incentive 
                                   Plan ("LTIP") award granted to the Group 
                                   Finance Director would be delayed from 
                                   June 2020 to 8 March 2021, subject to 
                                   the LTIP rules. To give effect to this, 
                                   the Company has now lapsed that portion 
                                   of the award that would have vested 
                                   in June 2020 and granted an award over 
                                   the same number of Shares, that would 
                                   but for the delay have vested in June 
                                   2020. These Shares will now vest on 
                                   8 March 2021, subject to the LTIP rules. 
     --------------------------  ------------------------------------------ 
 c)   Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                       of Shares received 
                                     GBP1.9545 per 
                                      Share                 104,221 
                                                     -------------------- 
     --------------------------  ------------------------------------------ 
 d)   Aggregated information      Not applicable 
 
       - Aggregated volume 
 
       - Price 
     --------------------------  ------------------------------------------ 
 e)   Date of the transaction     2020-06-16 
     --------------------------  ------------------------------------------ 
 f)   Place of the transaction    Not applicable 
     --------------------------  ------------------------------------------ 
 

Shares in respect of the quarterly payment of the Share element of PDMRs' fixed remuneration

 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Jes Staley 
      --------------------------  ------------------------------------------------- 
 2     Reason for the notification 
      ----------------------------------------------------------------------------- 
 a)    Position/status             Group Chief Executive Officer 
      --------------------------  ------------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ------------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      ----------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ------------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ------------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
 
        Identification code         GB0031348658 
      --------------------------  ------------------------------------------------- 
 b)    Nature of the transaction   The Company announces that on 16 June 
                                    2020 the trustee of the Barclays Group 
                                    (PSP) Employees' Benefit Trust delivered 
                                    32,510 Shares to the Group Chief Executive 
                                    in respect of the quarterly payment 
                                    of the Shares element of his fixed remuneration 
                                    for the three month period to 30 June 
                                    2020. The Shares are subject to a holding 
                                    period, with restrictions, such that 
                                    they are released in equal tranches 
                                    over five years (20% each year). The 
                                    number of Shares delivered was derived 
                                    after the settlement of tax and social 
                                    security, adjusted to reflect the Group 
                                    Chief Executive's voluntary contribution 
                                    to the Barclays' Community Aid Package 
                                    of one-third of his Fixed Pay for a 
                                    period of six months, such contributions 
                                    being made by way of reduction to the 
                                    Shares element of his Fixed Pay. 
      --------------------------  ------------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 80,669 
                                                      -------------------- 
      --------------------------  ------------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ------------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ------------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ------------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
 
        Identification code         GB0031348658 
      --------------------------  ------------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ------------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): 
                                      GBP1.2138 per 
                                       Share             48,159 
                                                      ----------- 
      --------------------------  ------------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ------------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ------------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ------------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Tushar Morzaria 
      --------------------------  ------------------------------------------------- 
 2     Reason for the notification 
      ----------------------------------------------------------------------------- 
 a)    Position/status             Group Finance Director 
      --------------------------  ------------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ------------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      ----------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ------------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ------------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ------------------------------------------------- 
 b)    Nature of the transaction   The Company announces that on 16 June 
                                    2020 the trustee of the Barclays Group 
                                    (PSP) Employees' Benefit Trust delivered 
                                    30,020 Shares to the Group Finance Director 
                                    in respect of the quarterly payment 
                                    of the Shares element of his fixed remuneration 
                                    for the three month period to 30 June 
                                    2020. The Shares are subject to a holding 
                                    period, with restrictions, such that 
                                    they are released in equal tranches 
                                    over five years (20% each year). The 
                                    number of Shares delivered was derived 
                                    after the settlement of tax and social 
                                    security, adjusted to reflect the Group 
                                    Finance Director's voluntary contribution 
                                    to the Barclays' Community Aid Package 
                                    of one-third of his Fixed Pay for a 
                                    period of six months, such contributions 
                                    being made by way of reduction to the 
                                    Shares element of his Fixed Pay . 
      --------------------------  ------------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 56,640 
                                                      -------------------- 
      --------------------------  ------------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ------------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ------------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ------------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ------------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ------------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s) 
                                      GBP1.2138 per 
                                       Share            26,620 
                                                      ---------- 
      --------------------------  ------------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ------------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ------------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ------------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Mark Ashton-Rigby 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Group Chief Operating Officer 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 14 
                                    August 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          144,175 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     67,762 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Paul Compton 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             President of Barclays Bank PLC 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 20 
                                    March 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          226,561 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     122,501 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Alistair Currie 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Head of Corporate Banking 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 28 
                                    August 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          74,662 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     35,091 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Stephen Dainton 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Global Head of Markets 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
 
        Identification code         GB0031348658 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 30 
                                    August 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          280,626 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     131,894 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Matthew Hammerstein 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             CEO, Barclays Bank UK PLC 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 28 
                                    August 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          41,192 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     19,360 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1       Details of the person discharging managerial responsibilities 
          / person closely associated 
 a)      Name                          Bob Hoyt 
        ----------------------------  ----------------------------------------------- 
 2       Reason for the notification 
        ----------------------------------------------------------------------------- 
 a)      Position/status               Group General Counsel 
        ----------------------------  ----------------------------------------------- 
 b)      Initial notification          Initial notification 
          /Amendment 
        ----------------------------  ----------------------------------------------- 
 3       Details of the issuer, emission allowance market participant, 
          auction platform, auctioneer or auction monitor 
        ----------------------------------------------------------------------------- 
 a)      Name                          Barclays PLC 
        ----------------------------  ----------------------------------------------- 
 b)      LEI                           213800LBQA1Y9L22JB70 
        ----------------------------  ----------------------------------------------- 
 4.1     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            Ordinary shares with a nominal value 
          financial instrument,         of 25 pence each ("Shares") 
          type of instrument 
                                        GB0031348658 
          Identification code 
        ----------------------------  ----------------------------------------------- 
 b)      Nature of the transaction     The trustee of the Barclays Group (PSP) 
                                        Employees' Benefit Trust delivered Shares 
                                        to the individual described above pursuant 
                                        to a trading plan entered into on 6 
                                        March 2019. The Shares delivered are 
                                        in respect of the quarterly payment 
                                        of the Share element of the individual's 
                                        fixed remuneration for the three month 
                                        period to 30 June 2020. The Shares are 
                                        subject to a holding period with restrictions 
                                        lifting in equal tranches over five 
                                        years (20% each year). 
        ----------------------------  ----------------------------------------------- 
 c)      Price(s) and volume(s)          Price(s)               Volume(s): Number 
                                                                  of Shares received 
                                          GBP1.2138 per Share          195,666 
                                                                -------------------- 
        ----------------------------  ----------------------------------------------- 
 d)      Aggregated information        Not applicable 
 
          - Aggregated volume 
 
          - Price 
        ----------------------------  ----------------------------------------------- 
 e)      Date of the transaction       2020-06-16 
        ----------------------------  ----------------------------------------------- 
 f)      Place of the transaction      London Stock Exchange (XLON) 
        ----------------------------  ----------------------------------------------- 
 4.2   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            Shares 
        financial instrument, 
        type of instrument 
                                      GB0031348658 
        Identification code 
      ----------------------------  ------------------------------------------------- 
 b)    Nature of the transaction     Sale of Shares to cover income tax and 
                                      social security liability due on the 
                                      delivery of Shares. 
      ----------------------------  ------------------------------------------------- 
 c)    Price(s) and volume(s)          Price(s)               Volume(s) 
                                        GBP1.2138 per Share     91,963 
                                                              ---------- 
      ----------------------------  ------------------------------------------------- 
 d)    Aggregated information        Not applicable 
 
        - Aggregated volume 
 
        - Price 
      ----------------------------  ------------------------------------------------- 
 e)    Date of the transaction       2020-06-16 
      ----------------------------  ------------------------------------------------- 
 f)    Place of the transaction      London Stock Exchange (XLON) 
      ----------------------------  ------------------------------------------------- 
 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Joseph McGrath 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Global Head of Banking 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 28 
                                    August 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          295,224 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     144,571 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Laura Padovani 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Group Chief Compliance Officer 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 21 
                                    March 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 92,684 
                                                      -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s) 
                                      GBP1.2138 per 
                                       Share            43,561 
                                                      ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Tristram Roberts 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Group HR Director 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 6 
                                    March 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 149,324 
                                                      -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s) 
                                      GBP1.2138 per 
                                       Share            70,182 
                                                      ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Ashok Vaswani 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             CEO, Consumer Banking & Payments 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 20 
                                    March 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 169,920 
                                                      -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s) 
                                      GBP1.2138 per 
                                       Share            79,862 
                                                      ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        C . S. Venkatakrishnan 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Chief Risk Officer 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 6 
                                    March 2019. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years (20% each year). 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s): Number 
                                                        of Shares received 
                                      GBP1.2138 per 
                                       Share                 221,412 
                                                      -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.1   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)         Volume(s) 
                                      GBP1.2138 per 
                                       Share            112,964 
                                                      ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 
 
 1     Details of the person discharging managerial responsibilities 
        / person closely associated 
 a)    Name                        Sasha Wiggins 
      --------------------------  ----------------------------------------------- 
 2     Reason for the notification 
      --------------------------------------------------------------------------- 
 a)    Position/status             Group Head of Public Policy and Corporate 
                                    Responsibility 
      --------------------------  ----------------------------------------------- 
 b)    Initial notification        Initial notification 
        /Amendment 
      --------------------------  ----------------------------------------------- 
 3     Details of the issuer, emission allowance market participant, 
        auction platform, auctioneer or auction monitor 
      --------------------------------------------------------------------------- 
 a)    Name                        Barclays PLC 
      --------------------------  ----------------------------------------------- 
 b)    LEI                         213800LBQA1Y9L22JB70 
      --------------------------  ----------------------------------------------- 
 4.1   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          Ordinary shares with a nominal value 
        financial instrument,       of 25 pence each ("Shares") 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   The trustee of the Barclays Group (PSP) 
                                    Employees' Benefit Trust delivered Shares 
                                    to the individual described above pursuant 
                                    to a trading plan entered into on 6 
                                    June 2020. The Shares delivered are 
                                    in respect of the quarterly payment 
                                    of the Share element of the individual's 
                                    fixed remuneration for the three month 
                                    period to 30 June 2020. The Shares are 
                                    subject to a holding period with restrictions 
                                    lifting in equal tranches over five 
                                    years. 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s): Number 
                                                              of Shares received 
                                      GBP1.2138 per Share          23,538 
                                                            -------------------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 4.2   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          Shares 
        financial instrument, 
        type of instrument 
                                    GB0031348658 
        Identification code 
      --------------------------  ----------------------------------------------- 
 b)    Nature of the transaction   Sale of Shares to cover income tax and 
                                    social security liability due on the 
                                    delivery of Shares 
      --------------------------  ----------------------------------------------- 
 c)    Price(s) and volume(s)        Price(s)               Volume(s) 
                                      GBP1.2138 per Share     11,062 
                                                            ---------- 
      --------------------------  ----------------------------------------------- 
 d)    Aggregated information      Not applicable 
 
        - Aggregated volume 
 
        - Price 
      --------------------------  ----------------------------------------------- 
 e)    Date of the transaction     2020-06-16 
      --------------------------  ----------------------------------------------- 
 f)    Place of the transaction    London Stock Exchange (XLON) 
      --------------------------  ----------------------------------------------- 
 

For further information please contact:

 
 Investor Relations      Media Relations 
 Chris Manners           Tom Hoskin 
 + 44 (0) 20 7773 2136   +44 (0)20 7116 4755 
 
 
 
 

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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June 18, 2020 10:15 ET (14:15 GMT)

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