Oakley Capital Investments Limited Director Dealing (1074N)
January 27 2021 - 12:06PM
UK Regulatory
TIDMOCI
RNS Number : 1074N
Oakley Capital Investments Limited
27 January 2021
27 January 2021
Oakley Capital Investments Limited
Director Dealing
Oakley Capital Investments Limited(1) (the "Company"), was
notified today of the following transaction by a Director of the
Company:
David Till, an Alternate Director of the Company, has purchased
6750 ordinary shares of 1 pence each in the Company ("Ordinary
Shares") at a price of 292.00 pence per Ordinary Share. As a
result, Mr. Till is now interested in 708,910 Ordinary Shares of
the Company, representing 0.393 percent of the issued share
capital.
Notification and public disclosure of transactions by persons
discharging managerial responsibilities and persons closely
associated with them
1 Details of the person discharging managerial responsibilities/person
closely associated
a) Name David Till
--------------------------- ------------------------------------------
2 Reason for the notification
-----------------------------------------------------------------------
a) Position/status Alternate Director
--------------------------- ------------------------------------------
b) Initial notification/ Initial notification
Amendment
--------------------------- ------------------------------------------
3 Details of the issuer, emission allowance market
participant, auction platform, auctioneer or auction
monitor
-----------------------------------------------------------------------
a) Name Oakley Capital Investments Limited
--------------------------- ------------------------------------------
b) LEI 213800KW6MZUK12CQ815
--------------------------- ------------------------------------------
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 Ordinary Shares of 1p each
of the financial
instrument,
type of instrument
Identification BMG670131058
code
--------------------------- ------------------------------------------
b) Nature of Acquisition
the transaction
--------------------------- ------------------------------------------
c) Price(s) Price(s) Volume(s)
and volume(s) 292.00 p 6,750
----------
--------------------------- ------------------------------------------
d) Aggregated N/A (single transaction)
information
* Aggregated volume
* Price
--------------------------- ------------------------------------------
e) Date of the 27 January 2021
transaction
--------------------------- ------------------------------------------
f) Place of London Stock Exchange, Specialist Fund
the transaction Segment
--------------------------- ------------------------------------------
- ends -
For further information please contact:
Oakley Capital Limited
+44 20 7766 6900
Steven Tredget, Investor Relations
Greenbrook Communications Limited
+44 20 7952 2000
Alex Jones / Michael Russell / James Williams
Liberum Capital Limited (Financial Adviser & Broker)
+44 20 3100 2000
Gillian Martin / Owen Matthews
Notes:
LEI Number: 213800KW6MZUK12CQ815
(1) About Oakley Capital Investments Limited ("OCI")
OCI is a Specialist Fund Segment ("SFS") traded investment
vehicle, which provides access to the Oakley Funds(2) . It is a
liquid vehicle that aims to provide capital growth and dividends to
investors.
The Oakley Funds
Oakley Capital Private Equity L.P. and its successor funds,
Oakley Capital Private Equity II, Oakley Capital Private Equity
III, Oakley Capital IV and Oakley Capital Origin Fund are unlisted
lower-mid to mid-market private equity funds with the aim of
providing investors with significant long-term capital
appreciation. The investment strategy of the funds is to focus on
buy-out opportunities in industries with the potential for growth,
consolidation and performance improvement.
The Investment Adviser
Founded in 2002, Oakley Capital Limited has demonstrated the
repeated ability to source attractive growth assets at attractive
prices. To do this it relies on its sector and regional expertise,
its ability to tackle transaction complexity and its deal
generating entrepreneur network.
Important information
Specialist Fund Segment securities are not admitted to the
Official List of the Financial Conduct Authority. Therefore the
Company has not been required to satisfy the eligibility criteria
for admission to listing on the Official List and is not required
to comply with the Financial Conduct Authority's Listing Rules.
The Specialist Fund Segment is intended for institutional,
professional, professionally advised and knowledgeable investors
who understand, or who have been advised of, the potential risk
from investing in companies admitted to the Specialist Fund
Segment.
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END
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