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Wed 9 May 2012, 15:45 CSO - Capital Shopping Centres Group Plc - Notification of transactions of
CSO
CSO                                                                             
CSO - Capital Shopping Centres Group Plc - Notification of transactions of      
Directors/persons discharging managerial responsibility and connected persons   
CAPITAL SHOPPING CENTRES GROUP PLC                                              
(Registration number UK3685527)                                                 
ISIN Code:     GB0006834344                                                     
JSE Code:      CSO                                                              
CAPITAL SHOPPING CENTRES GROUP PLC                                              
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          
CAPITAL SHOPPING CENTRES GROUP         notified in accordance with DTR       
   PLC                                    3.1.2 R, (ii) a disclosure made       
                                          in accordance with LR 9.8.6R(1)       
                                          or (iii) a disclosure 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           
   managerial                             relates to a person connected         
responsibilities/director              with a person discharging             
                                          managerial                            
   JOHN WHITTAKER                         responsibilities/director named       
                                          in 3 and identify the connected       
person                                
                                                                                
                                          GOODWEATHER HOLDINGS LIMITED          
                                                                                
5.  Indicate whether the notification  6.  Description of shares (including     
   is in respect of a holding of the      class), debentures or                 
   person referred to in 3 or 4           derivatives or financial              
   above or in respect of a non-          instruments relating to shares        
beneficial interest1                                                         
                                          ORDINARY SHARES OF 50p                
   AS IN BOX 4 ABOVE                                                            
                                                                                
7.  Name of registered shareholder(s)  8.  State the nature of the              
   and, if more than one, the number      transaction                           
   of shares held by each of them                                               
                                          TRANSFER OF 300,000 SHARES TO         
RULEGALE NOMINEES LIMITED              HSDL NOMINEES                         
                                                                                
9.  Number of shares, debentures or    10. Percentage of issued class           
   financial instruments relating to      acquired (treasury shares of          
shares acquired                        that class should not be taken        
                                          into account when calculating         
   N/A                                    percentage)                           
                                                                                
N/A                                   
                                                                                
11. Number of shares, debentures or    12. Percentage of issued class           
   financial instruments relating to      disposed (treasury shares of          
shares disposed                        that 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                                                                  
9 MAY 2012, LONDON                    
   NO VALUE - CHANGE OF LEGAL                                                   
   OWNERSHIP ONLY: BARE LEGAL TITLE                                             
   IS BEING TRANSFERRED TO HSDL                                                 
NOMINEES PURSUANT TO AN EQUITABLE                                            
   MORTGAGE                                                                     
                                                                                
15. Total holding following notification and total percentage holding           
following notification (any treasury shares should not be taken into         
   account when calculating percentage)                                         
                                                                                
   TOTAL INTEREST IN ORDINARY SHARES - 173,930,564 (20.21%)                     

   TOTAL INTEREST (INCLUDING SHARES ISSUABLE ON CONVERSION OF CONVERTIBLE       
   BOND) - 212,509,814 (24.70%)                                                 
                                                                                
16. Date issuer informed of            17. Any additional information           
   transaction                                                                  
                                          PRIOR TO TRANSFER THE SHARES          
   9 MAY 2012                             WERE SUBJECT TO A PRE-EXISTING        
FLOATING CHARGE OVER THE ASSETS       
                                          OF GOODWEATHER HOLDINGS LIMITED.      
                                          UPON TRANSFER OF LEGAL TITLE IN       
                                          THE SHARES TO HSDL NOMINEES THE       
SHARES BECAME SUBJECT TO AN           
                                          EQUITABLE MORTGAGE                    
                                                                                
18. Name of contact and telephone number for queries                            

   VOIRREY O`NEILL                                                              
                                                                                
   01624 827508                                                                 
Name and signature of duly authorised official of issuer responsible for        
making notification                                                             
SIMON MAYNARD                                                                   
Date of notification: 9 MAY 2012                                                
Sponsor:                                                                        
Merrill Lynch SA (Pty) Ltd                                                      
Date: 09/05/2012 15:45:01 Produced by the JSE SENS Department.                  
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