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Thu 4 Mar 2010, 7:05 LBT - Liberty International Plc - Notification of transactions of
LBT
LILII                                                                           
LBT - Liberty International Plc - Notification of transactions of               
directors/persons discharging managerial responsibility and connected persons   
LIBERTY INTERNATIONAL PLC                                                       
(Registration number UK3685527)                                                 
ISIN Code:     GB0006834344                                                     
JSE Code:      LBT                                                              
Issuer Code:   LILI I                                                           
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 notified in             
accordance with DTR 3.1.2 R, (ii) a          
                                   disclosure made in accordance LR             
                                   9.8.6R(1) or (iii) a disclosure made in      
                                   accordance with section 793 of the           
LIBERTY INTERNATIONAL PLC        Companies Act (2006).                        
                                                                                
                                   NOTIFICATION IN ACCORDANCE WITH (i)          
3.  Name of person discharging    4.  State whether notification relates to a   
managerial responsibilities      person connected with a person               
  / director                       discharging managerial                       
                                   responsibilities/director named in 3         
                                   and identify the connected person            
H TURNER NEWTON                                                               
                                   PDMR NAMED IN 3                              
                                                                                
5.  Indicate whether the          6.  Description of shares (including          
notification is in respect       class), debentures or derivatives or         
  of a holding of the person       financial instruments relating to            
  referred to in 3 or 4 above      shares                                       
  or in respect of a non-                                                       
beneficial interest1                                                          
                                   ORDINARY SHARES OF 50P                       
  BENEFICIAL INTEREST OF H                                                      
  TURNER NEWTON FAMILY TRUST                                                    
7.  Name of registered            8.  State the nature of the transaction       
  shareholders(s) and, if more                                                  
  than one, the number of                                                       
  shares held by each of them      EXERCISE OF OPTIONS                          

  MERRILL LYNCH A/C - H TURNER                                                  
  NEWTON FAMILY TRUST                                                           
                                                                                

9.  Number of shares, debentures  10. Percentage of issued class acquired       
   or financial instruments          (treasury shares of that class should      
  relating to shares acquired      not be taken into account when               
calculating percentage)                      
                                                                                
  4,362                            0.0007%                                      
11. Number of shares, debentures  12. Percentage of issued class disposed       
or financial instruments          (treasury shares of that class should      
  relating to shares disposed      not be taken into account when               
                                   calculating percentage)                      
                                                                                
0                                n/a                                          
                                                                                
13. Price per share or value of   14. Date and place of transaction             
   transaction                                                                  

                                   1 March 2010                                 
  406p                                                                          
15. Total holding following       16. Date issuer informed of transaction       
notification and total                                                       
  percentage holding following                                                  
  notification (any treasury       2 March 2010                                 
  shares should not be taken                                                    
into account when                                                             
  calculating percentage)                                                       
                                                                                
  78,488 (0.013%)                                                               
17. Any additional information    18. Name of contact and telephone number      
                                     for queries                                
  As Liberty International                                                      
  remains in an exceptionally                                                   
long prohibited period in        SUSAN FOLGER                                 
  advance of the release of        020 7887 7073                                
  its Annual Results, and the                                                   
  final date for the exercise                                                   
of Mr Newton`s options fell                                                   
  within this period, in                                                        
  accordance with paragraphs                                                    
  14 and 15 of the Model Code                                                   
clearance was given to Mr                                                     
  Newton to exercise the                                                        
  options. Mr Newton provided                                                   
  funds to Liberty                                                              
International to satisfy the                                                  
  exercise costs and has                                                        
  retained all of the shares                                                    
  over which the options were                                                   
exercised.                                                                    
Name and signature of duly authorised officer of issuer responsible for         
making notification                                                             
SUSAN FOLGER                                                                    
Date of notification                     3 MARCH 2010                           
4 MARCH 2010                                                                    
Sponsor                                                                         
Merrill Lynch South Africa (Proprietary) Limited                                
Date: 04/03/2010 07:05:13 Produced by the JSE SENS Department.                  
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