TIDMPHP 
 
RNS Number : 5729V 
Primary Health Properties PLC 
03 November 2010 
 

Notification of Transactions of Directors/Persons Discharging Managerial 
Responsibility and Connected Persons 
 
All relevant boxes should be completed in block capital letters. 
 
+--+----------------------------+--+---------------------------+ 
| 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        | 
|  |                            |  | Companies Act (2006).     | 
|  |                            |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  | PRIMARY HEALTH PROPERTIES  |  | (I)AND (II)               | 
|  | PLC                        |  |                           | 
+--+----------------------------+--+---------------------------+ 
| 3.| Name of person discharging | 4.| State whether             | 
|  | managerial                 |  | notification relates to   | 
|  | responsibilities/director  |  | a person                  | 
|  |                            |  | connected with a person   | 
|  |                            |  | discharging managerial    | 
|  |                            |  | responsibilities/director | 
|  |                            |  | named in 3 and identify   | 
|  |                            |  | the connected person      | 
|  |                            |  |                           | 
|  |                            |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  | HARRY HYMAN                |  | Director                  | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
| 5.| Indicate whether the       | 6.| Description of shares     | 
|  | notification is in respect |  | (including class),        | 
|  | of a holding of the person |  | debentures or             | 
|  | referred to in 3 or 4      |  | derivatives or financial  | 
|  | above or in respect of a   |  | instruments relating to   | 
|  | nonbeneficial              |  | shares                    | 
|  | interest 1                 |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  | HARRY HYMAN                |  | ORDINARY SHARES OF 50     | 
|  |                            |  | PENCE EACH                | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
| 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                       |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  | ST ANNS SQUARE NOMINEES    |  | ACQUISITION OF 506        | 
|  | LTD                        |  | ORDINARY SHARES BY        | 
|  |                            |  | DIRECTOR'S ISA BEING      | 
|  |                            |  | REINVESTMENT OF CASH      | 
|  |                            |  | DIVIDEND                  | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
| 9.| Number of shares,          | 10.| Percentage of issued      | 
|  | debentures or financial    |  | class acquired (treasury  | 
|  | instruments relating to    |  | shares of that class      | 
|  | shares acquired            |  | should not be taken into  | 
|  |                            |  | account when calculating  | 
|  |                            |  | percentage)               | 
+--+----------------------------+--+---------------------------+ 
|  | 506 ORDINARY SHARES OF 50P |  | N/A                       | 
|  | EACH                       |  |                           | 
+--+----------------------------+--+---------------------------+ 
| 11.| Number of shares,          | 12.| Percentage of issued      | 
|  | debentures or financial    |  | class disposed (treasury  | 
|  | instruments relating to    |  | 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   | 14.| Date and place of         | 
|  | of transaction             |  | transaction               | 
|  |                            |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  |  GBP3.235                  |  | 29 OCTOBER 2010           | 
+--+----------------------------+--+---------------------------+ 
| 15.| Total holding following    | 16.| Date issuer informed of   | 
|  | notification and total     |  | transaction               | 
|  | percentage holding         |  |                           | 
|  | following notification     |  |                           | 
|  | (any treasury shares       |  |                           | 
|  | should not be taken into   |  |                           | 
|  | account when calculating   |  |                           | 
|  | percentage)                |  |                           | 
|  |                            |  |                           | 
+--+----------------------------+--+---------------------------+ 
|  | 50,576 BENEFICIAL          |  | 2 NOVEMBER 2010           | 
|  | 3,751,554  NON-BENEFICIAL  |  |                           | 
|  | 3,802,130 TOTAL  6.05 %    |  |                           | 
+--+----------------------------+--+---------------------------+ 
 
If a person discharging managerial responsibilities has been granted options by 
the issuer 
complete the following boxes 
 
+--+---------------------------+--+---------------------------+ 
| 17.| Date of grant             | 18.| Period during which or    | 
|  |                           |  | date on which exercisable | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 19.| Total amount paid (if     | 20.| Description of shares or  | 
|  | any) for grant of the     |  | debentures involved       | 
|  | option                    |  | (class and number)        | 
|  |                           |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 21.| Exercise price (if fixed  | 22.| Total number of shares or | 
|  | at time of grant) or      |  | debentures over which     | 
|  | indication that price is  |  | options held following    | 
|  | to be fixed at the time   |  | notification              | 
|  | of exercise               |  |                           | 
|  |                           |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 23.| Any additional            | 24.| Name of contact and       | 
|  | information               |  | telephone number for      | 
|  |                           |  | queries                   | 
|  |                           |  |                           | 
|  |                           |  | MARK PURNELL, J O HAMBRO  | 
|  |                           |  | CAPITAL MANAGEMENT        | 
|  |                           |  | LIMITED                   | 
|  |                           |  | 0207 747 8952             | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| Name of authorised official of issuer responsible for       | 
| making notification                                         | 
|                                                             | 
| FOR AND ON BEHALF OF J O HAMBRO CAPITAL MANAGEMENT LIMITED  | 
| AS COMPANY SECRETARY OF PRIMARY HEALTH PROPERTIES PLC,      | 
| SECRETARY                                                   | 
|                                                             | 
| Date of notification  3 NOVEMBER  2010                      | 
|                                                             | 
+-------------------------------------------------------------+ 
|                                                             | 
+--+---------------------------+--+---------------------------+ 
 
 
Notes:    This form is intended for use by an issuer to make a RIS notification 
required by DR 3.3. 
 
+--+---------------------------------------------------------+ 
| (1)| An issuer making a notification in respect of a         | 
|  | transaction relating to the shares or debentures of the | 
|  | issuer should complete boxes 1 to 16, 23 and 24.        | 
+--+---------------------------------------------------------+ 
| (2)| An issuer making a notification in respect of a         | 
|  | derivative relating the shares of the issuer should     | 
|  | complete boxes 1 to 4, 6, 8, 13, 14, 16, 23 and 24.     | 
+--+---------------------------------------------------------+ 
| (3)| An issuer making a notification in respect of options   | 
|  | granted to a director/person discharging managerial     | 
|  | responsibilities should complete boxes 1 to 3 and 17 to | 
|  | 24.                                                     | 
+--+---------------------------------------------------------+ 
| (4)| An issuer making a notification in respect of a         | 
|  | financial instrument relating to the shares of the      | 
|  | issuer (other than a debenture) should complete boxes 1 | 
|  | to 4, 6, 8, 9, 11, 13, 14, 16, 23 and 24.               | 
+--+---------------------------------------------------------+ 
 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
 RDSBUBDBXDGBGGX 
 

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