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Wed 4 Apr 2007, 12:41 LBT - Liberty International Plc - Notification of
LBT
 LILII                                                                           
LBT - Liberty International Plc - Notification of Transactions                  
LIBERTY INTERNATIONAL PLC                                                       
(Registration number UK3685527)                                                 
ISIN Code:     GB0006834344                                                     
JSE Code:      LBT                                                              
Issuer Code:   LILII                                                            
NOTIFICATION OF TRANSACTIONS OF DIRECTORS/PERSONS DISCHARGING MANAGERIAL        
RESPONSIBILITY AND CONNECTED PERSONS                                            
1.  Name of the issuer         2.  State whether the notification               
                                 relates to (i) a transaction                   
  LIBERTY INTERNATIONAL PLC      notified in accordance with DR                 
3.1.4R(l)(a);or                                 
                                (ii) DR 3.1.4(R)(l)(b) a                        
                                disclosure made in accordance                   
                                with section 324 (as extended by                
section 328) of the Companies Act               
                                1985; or                                        
                                (iii) both (i) and (ii)                         
                                                                                
NOTIFICATION IN ACCORDANCE WITH                 
                                (iii)                                           
3.  Name of person             4.  State whether notification                   
  discharging managerial         relates to a person connected                  
responsibilities I             with a person discharging                      
  director                       managerial                                     
                                 responsibilities/director named                
                                 in 3 and identify the connected                
SIR ROBERT FINCH               person                                         
                                                                                
                                DIRECTOR NAMED IN 3                             
5.  Indicate whether the       6.  Description of shares (including             
notification is in             class), debentures or derivatives              
  respect of a holding of        or financial instruments relating              
  the person referred to in      to shares                                      
  3 or 4 above or in                                                            
respect of a non-                                                             
  beneficial interest1           ORDINARY SHARES OF 50P                         
                                                                                
  BENEFICIAL INTEREST OF                                                        
SIR ROBERT FINCH                                                              
7.  Name of registered         8.  State the nature of the                      
  shareholders(s) and, if        transaction                                    
  more than one, the number                                                     
of shares held by each of                                                     
  them                           PURCHASE OF SHARES                             
                                                                                
  RATHBONE NOMINEES LIMITED                                                     
9.  Number of shares,          10  Percentage of issued class                   
   debentures or financial    .   acquired (treasury shares of that             
  instruments relating to        class should not be taken into                 
  shares acquired                account when calculating                       
percentage)                                    
                                                                                
  1,000                          0.0003%                                        
11. Number of shares,          12  Percentage of issued class                   
debentures or financial    .   disposed (treasury shares of that             
  instruments relating to        class should not be taken into                 
  shares disposed                account when calculating                       
                                 percentage)                                    

  N/A                            N/A                                            
13. Price per share or value   14  Date and place of transaction                
   of transaction             .                                                 
3 APRIL 2007                                   
  1,262p                                                                        
15. Total holding following    16  Date issuer informed of                      
   notification and total     .   transaction                                   
percentage holding                                                            
  following notification                                                        
  (any treasury shares           3 APRIL 2007                                   
  should not be taken into                                                      
account when calculating                                                      
  percentage)                                                                   
                                                                                
  16,712  (0.004%)                                                              
17. Any additional             18  Name of contact and telephone                
   information                .   number for queries                            
                                                                                
  This purchase forms part                                                      
of Sir Robert`s                RUTH PAVEY                                     
  contractual arrangements       020 7960 1236                                  
  whereby he is entitled to                                                     
  receive, each quarter,                                                        
such additional                                                               
  remuneration that will                                                        
  purchase 1,000 Liberty                                                        
  International ordinary                                                        
shares.                                                                       
                                                                                
Name and signature of duly authorised officer of issuer                         
responsible for making notification                                             
RUTH PAVEY                                                                      
Date of notification                                                            
4 APRIL 2007                                                                    
Date: 04/04/2007 12:41:01 Produced by the JSE SENS Department.                  
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