TIDMLRM

RNS Number : 8075F

Lombard Risk Management PLC

23 February 2018

23 February 2018

Lombard Risk Management plc

(the "Company")

Exercise of Options & Director Dealing

Lombard Risk Management plc (AIM: LRM.L), a leading global provider of integrated collateral management and regulatory reporting solutions for the financial services industry, announces that as the result of the exercise of options by various employees and PDMRs, the Company has issued 3,840,899 new ordinary shares of 0.5p each in the capital of the Company (the "New Ordinary Shares").

Alastair Brown, CEO of the Company, has exercised options over 260,869 ordinary shares at a price of 11.5p per ordinary share. Following the issue of these shares Mr Brown will be interested in 1,944,269 ordinary shares of the Company, representing approximately 0.48 per cent. of the Company's enlarged issued share capital.

Application has been made for the New Ordinary Shares to be admitted to trading on AIM and it is expected that admission will take place on 26 February 2018.

The New Ordinary Shares will rank pari passu with the existing ordinary shares of the Company. In accordance with the Financial Conduct Authority's Disclosure and Transparency Rules, following this allotment the total number of ordinary shares in the capital of the Company in issue is 404,434,819. The Company currently holds 234 Ordinary Shares in treasury which do not carry voting rights and therefore the total number of voting rights in the Company is 404,434,585.

The above figure of 404,434,585 may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in the Company, under the Disclosure and Transparency Rules.

The Company makes the following announcement and notification in accordance with the EU Market Abuse Regulation (No 596/2014):

 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Alastair Brown 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Director, Chief Executive 
                                                    Officer 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         11.5p          260,869 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Mike Payne 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Chief Technology Officer 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         9.75p          307,692 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Tina Wilkinson 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Global Head of Product 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         11.13p         269,541 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Nigel Rohan 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Global Sales Operations 
                                                    Director 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            289,156 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Helen Nicol 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Head of Product, Collateral 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            250,000 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Sue Kent 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Chief Administrative Officer 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            250,000 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 James Phillips 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Regulatory Strategy Director 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            250,000 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Peter Taylor 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Human Resources Director 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         11p            272,727 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Ian Dwyer 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Global Alliances Director 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         8.38p          357,995 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Leonie Alsop 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Chief Marketing Officer 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12.88p         232,919 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Robin Bridge 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Head of Product, Regulatory 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            250,000 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 
 
     1.       Details of the person discharging 
               managerial responsibilities / person 
               closely associated 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Malcolm Arnold 
-------  -----------------------------------  ----------------------------------- 
     2.       Reason for the Notification 
-------  ------------------------------------------------------------------------ 
     a)       Position/status                      Head of Technical Architecture 
-------  -----------------------------------  ----------------------------------- 
     b)       Initial notification/Amendment            Initial notification 
-------  -----------------------------------  ----------------------------------- 
 3.           Details of the issuer, emission allowance 
               market participant, auction platform, 
               auctioneer or auction monitor 
-------  ------------------------------------------------------------------------ 
     a)       Name                                 Lombard Risk Management 
                                                    plc 
-------  -----------------------------------  ----------------------------------- 
     b)       LEI                                  213800HPXYSR1TUULW48 
-------  -----------------------------------  ----------------------------------- 
 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 the Financial                            of 0.5p 
               instrument, 
               type of instrument 
------- 
              Identification                       GB00B030JP46 
               code 
-------  -----------------------------------  ----------------------------------- 
     b)       Nature of                                  Exercise of options 
               the transaction 
-------  -----------------------------------  ----------------------------------- 
     c)       Price(s)                                  Price(s)       Volume(s) 
               and volume(s)                        -------------  -------------- 
                                                         12p            150,000 
                                                    -------------  -------------- 
-------  -----------------------------------  ----------------------------------- 
     d)       Aggregated 
               information:                          As above 
                *    Aggregated volume 
 
 
                *    Price 
-------  -----------------------------------  ----------------------------------- 
     e)       Date of the                          23 February 2018 
               transaction 
-------  -----------------------------------  ----------------------------------- 
     f)       Place of                             London Stock Exchange, 
               the transaction                      AIM Market (XLON) 
-------  -----------------------------------  ----------------------------------- 
 

For further information, please contact:

 
     Lombard Risk Management Plc            Tel: +44 (0)20 
      Alastair Brown, CEO                    7593 6700 
      Nigel Gurney, CFO 
     finnCap (Nominated Adviser and         Tel: +44 (0)20 
      Joint Broker)                          7220 0500 
      Stuart Andrews 
      Carl Holmes 
      Scott Mathieson 
                                            Tel: +44 (0) 
       WG Partners LLP (Joint Broker)        203 705 9330 
       David Wilson 
       Claes Spång 
       Chris Lee 
     Newgate (Financial PR)                 Tel: +44 (0)20 
      Bob Huxford                            7653 9850 
      Charlotte Coulson                      lombard@newgatecomms.com 
      Adam Lloyd 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

IOEEAAADAEXPEFF

(END) Dow Jones Newswires

February 23, 2018 07:15 ET (12:15 GMT)

Lombard Risk Management (LSE:LRM)
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Lombard Risk Management (LSE:LRM)
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