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Mon 21 Jun 2010, 9:09 CCO - Capital & Counties Properties PLC - Notification of transactions of
JSE   CCO
CCO                                                                             
CCO - Capital & Counties Properties PLC - Notification of transactions of       
directors/persons discharging managerial responsibility and connected persons   
Capital & Counties Properties PLC                                               
(Incorporated and registered in the United Kingdom and Wales with registration  
Number 07145041 and registered in South Africa as an external company with      
Registration Number 2010/003387/10)                                             
JSE code: CCO                                                                   
ISIN: GB00B62G9D36                                                              
(the "Company")                                                                 
NOTIFICATION OF TRANSACTIONS OF DIRECTORS/PERSONS DISCHARGING MANAGERIAL        
RESPONSIBILITY AND CONNECTED PERSONS                                            
1.                                                                              
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             
  CAPITAL & COUNTIES PROPERTIES PLC      accordance with section 793 of the     
Companies Act (2006).                   
                                                                                
                                                                                
                                        NOTIFICATION IN ACCORDANCE WITH (i)     
3.  Name of person discharging         4.   State whether notification relates  
  managerial responsibilities I          to a person connected with a person    
  director                               discharging managerial                 
                                         responsibilities/director named in     
IAN DURANT                             3 and identify the connected person    
                                         DIRECTOR NAMED IN 3                    
                                                                                
                                                                                

                                                                                
5.  Indicate whether the notification  6.   Description of shares (including    
  is in respect of a holding of the      class), debentures or derivatives      
person referred to in 3 or 4           or financial instruments relating      
  above or in respect of a non-          to shares                              
  beneficial interest1                                                          
                                                                                
BENEFICIAL INTEREST                    ORDINARY SHARES OF 25P                 
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                                                                  
                                         PURCHASE OF SHARES                     
  IAN DURANT                                                                    
                                                                                

9.  Number of shares, debentures or    10.  Percentage of issued class acquired 
   financial instruments relating to       (treasury shares of that class       
  shares acquired                        should not be taken into account       
when calculating percentage)           
                                                                                
  53,492                                 0.036%                                 
                                                                                

11. Number of shares, debentures or    12.  Percentage of issued class disposed 
   financial instruments relating to       (treasury shares of that class       
  shares disposed                        should not be taken into account       
when calculating percentage)           
                                                                                
  n/a                                    n/a                                    
                                                                                

13. Price per share or value of        14.  Date and place of transaction       
   transaction                                                                  
                                         17 JUNE 2010                           
GBP 1.070292 per share                                                        
                                                                                
15. Total holding following            16.  Date issuer informed of transaction 
   notification and total percentage                                            
holding following notification                                                
  (any treasury shares should not        18 JUNE 2010                           
  be taken into account when                                                    
  calculating percentage)                                                       

  225,839 (0.036%)                                                              
17. Any additional information         18.  Name of contact and telephone       
                                           number for queries                   
Shares were purchased with net                                                
  proceeds realised on exercise of                                              
  options over Capital Shopping          SAMEERA RASHID                         
  Centres Group PLC shares.              020 7960 1419                          

Name and signature of duly authorised officer of issuer responsible for         
making notification                                                             
SAMEERA RASHID                                                                  
Date of notification                                                            
18 JUNE 2010                                                                    
2.                                                                              
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       
  CAPITAL & COUNTIES PROPERTIES PLC       made in accordance with section       
                                         793 of the Companies Act (2006).       
                                                                                

                                         NOTIFICATION IN ACCORDANCE WITH        
                                         (i)                                    
3.  Name of person discharging         4.    State whether notification relates 
managerial responsibilities I           to a person connected with a          
  director                                person discharging managerial         
                                          responsibilities/director named in    
  RUTH PAVEY                              3 and identify the connected          
person                                
                                         PDMR NAMED IN 3 AND CONNECTED          
                                         PERSON - TOM SHEPPARD                  
5.  Indicate whether the notification  6.    Description of shares (including   
is in respect of a holding of the       class), debentures or derivatives     
  person referred to in 3 or 4            or financial instruments relating     
  above or in respect of a non-           to shares                             
  beneficial interest1                                                          

  BENEFICIAL INTEREST OF PDMR NAMED       ORDINARY SHARES OF 25P                
  IN 3 AND TOM SHEPPARD                                                         
7.  Name of registered                 8.    State the nature of the            
shareholders(s) and, if more than       transaction                           
  one, the number of shares held by                                             
  each of them                                                                  
                                          PURCHASE OF SHARES AND TRANSFER OF    
TOM SHEPPARD                            SHARES TO CONNECTED PERSON            
9.  Number of shares, debentures or    10.   Percentage of issued class         
   financial instruments relating to        acquired (treasury shares of that   
  shares acquired                         class should not be taken into        
account when calculating              
                                          percentage)                           
  9,315                                                                         
                                          0.002%                                

                                                                                
11. Number of shares, debentures or    12.   Percentage of issued class         
   financial instruments relating to        disposed (treasury shares of that   
shares disposed                         class should not be taken into        
                                          account when calculating              
  N/A                                     percentage)                           
                                                                                
N/A                                    
13. Price per share or value of        14.   Date and place of transaction      
   transaction                                                                  
                                          16 JUNE 2010                          
Shares were purchased for                                                     
  GBP1.09895 per share and                                                      
  transferred for nil consideration                                             
                                                                                
15. Total holding following            16.   Date issuer informed of            
   notification and total percentage        transaction                         
  holding following notification                                                
  (any treasury shares should not                                               
be taken into account when              18 JUNE 2010                          
  calculating percentage)                                                       
                                                                                
  10,343 (0.002%)                                                               
17. Any additional information         18.   Name of contact and telephone      
                                            number for queries                  
  Shares were purchased with net                                                
  proceeds realised on exercise of                                              
options over Capital Shopping           SAMEERA RASHID                        
  Centres Group PLC shares.               020 7960 1419                         
                                                                                
Name and signature of duly authorised officer of issuer responsible for         
making notification                                                             
SAMEERA RASHID                                                                  
Date of notification                                                            
18 JUNE 2010                                                                    
3.                                                                              
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       
  CAPITAL & COUNTIES PROPERTIES PLC       made in accordance with section       
793 of the Companies Act (2006).       
                                                                                
                                                                                
                                         NOTIFICATION IN ACCORDANCE WITH        
(i)                                    
3.  Name of person discharging         4.    State whether notification relates 
  managerial responsibilities I           to a person connected with a          
  director                                person discharging managerial         
responsibilities/director named in    
  BOB TATTAR                              3 and identify the connected          
                                          person                                
                                         PDMR NAMED IN 3                        
5.  Indicate whether the notification  6.    Description of shares (including   
  is in respect of a holding of the       class), debentures or derivatives     
  person referred to in 3 or 4            or financial instruments relating     
  above or in respect of a non-           to shares                             
beneficial interest1                                                          
                                                                                
  BENEFICIAL INTEREST                     ORDINARY SHARES OF 25P                
7.  Name of registered                 8.    State the nature of the            
shareholders(s) and, if more than       transaction                           
  one, the number of shares held by                                             
  each of them                                                                  
                                                                                
B.S. TATTAR                             PURCHASE OF SHARES                    
9.  Number of shares, debentures or    10.   Percentage of issued class         
   financial instruments relating to        acquired (treasury shares of that   
  shares acquired                         class should not be taken into        
account when calculating              
                                          percentage)                           
  23,253                                                                        
                                         0.004%                                 

                                                                                
11. Number of shares, debentures or    12.   Percentage of issued class         
   financial instruments relating to        disposed (treasury shares of that   
shares disposed                         class should not be taken into        
                                          account when calculating              
                                          percentage)                           
  n/a                                                                           
n/a                                   
13. Price per share or value of        14.   Date and place of transaction      
   transaction                                                                  
                                          16 JUNE 2010                          
GBP1.098959 per share                                                         
                                                                                
15. Total holding following            16.   Date issuer informed of            
   notification and total percentage        transaction                         
holding following notification                                                
  (any treasury shares should not                                               
  be taken into account when              18 JUNE 2010                          
  calculating percentage)                                                       

  33,253 (0.005%)                                                               
17. Any additional information         18.   Name of contact and telephone      
                                            number for queries                  
Shares were purchased with net                                                
  proceeds realised on exercise of                                              
  options over Capital Shopping           SAMEERA RASHID                        
  Centres Group PLC shares.               020 7960 1419                         

                                                                                
Name and signature of duly authorised officer of issuer responsible for         
making notification                                                             
SAMEERA RASHID                                                                  
Date of notification                                                            
18 JUNE 2010                                                                    
4.                                                                              
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       
  CAPITAL & COUNTIES PROPERTIES PLC       made in accordance with section       
                                         793 of the Companies Act (2006).       

                                                                                
                                         NOTIFICATION IN ACCORDANCE WITH        
                                         (i)                                    
3.  Name of person discharging         4.    State whether notification relates 
  managerial responsibilities I           to a person connected with a          
  director                                person discharging managerial         
                                          responsibilities/director named in    
MICHAEL VAUGHAN-JOHNS                   3 and identify the connected          
                                          person                                
                                         PDMR NAMED IN 3                        
5.  Indicate whether the notification  6.    Description of shares (including   
is in respect of a holding of the       class), debentures or derivatives     
  person referred to in 3 or 4            or financial instruments relating     
  above or in respect of a non-           to shares                             
  beneficial interest1                                                          

  BENEFICIAL INTEREST                     ORDINARY SHARES OF 25P                
7.  Name of registered                 8.    State the nature of the            
  shareholders(s) and, if more than       transaction                           
one, the number of shares held by                                             
  each of them                                                                  
                                                                                
  MICHAEL VAUGHAN-JOHNS                   PURCHASE OF SHARES                    
9.  Number of shares, debentures or    10.   Percentage of issued class         
   financial instruments relating to        acquired (treasury shares of that   
  shares acquired                         class should not be taken into        
                                          account when calculating              
percentage)                           
  9,586                                                                         
                                         0.002%                                 
                                                                                

11. Number of shares, debentures or    12.   Percentage of issued class         
   financial instruments relating to        disposed (treasury shares of that   
  shares disposed                         class should not be taken into        
account when calculating              
                                          percentage)                           
  n/a                                                                           
                                          n/a                                   
13. Price per share or value of        14.   Date and place of transaction      
   transaction                                                                  
                                          16 JUNE 2010                          
  GBP1.098959 per share                                                         

15. Total holding following            16.   Date issuer informed of            
   notification and total percentage        transaction                         
  holding following notification                                                
(any treasury shares should not                                               
  be taken into account when              18 JUNE 2010                          
  calculating percentage)                                                       
                                                                                

                                                                                
                                                                                
                                                                                

                                                                                
  9,586 (0.002%)                                                                
17. Any additional information         18.   Name of contact and telephone      
number for queries                  
                                                                                
  Shares were purchased with net                                                
  proceeds realised on exercise of        SAMEERA RASHID                        
options over Capital Shopping           020 7960 1419                         
  Centres Group PLC shares.                                                     
                                                                                
Name and signature of duly authorised officer of issuer responsible for         
making notification                                                             
SAMEERA RASHID                                                                  
Date of notification                                                            
18 JUNE 2010                                                                    
Sponsor:                                                                        
Merrill Lynch South Africa (Pty) Limited                                        
Date: 21/06/2010 09:09:01 Produced by the JSE SENS Department.                  
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