For best results when printing this announcement, please click on link below:
https://newsfile.refinitiv.com/getnewsfile/v1/story?guid=urn:newsml:reuters.com:20250624:nRSX2355Oa&default-theme=true
RNS Number : 2355O Barclays PLC 24 June 2025
24 June 2025
Notification and public disclosure of transactions by persons discharging
managerial responsibilities and persons closely associated with them
Barclays PLC (the "Company") announces the following transactions by persons
discharging managerial responsibility ("PDMRs") in ordinary shares of the
Company with a nominal value of 25 pence each ("Shares").
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name C.S. Venkatakrishnan
2 Reason for the notification
a) Position/status Group Chief Executive
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 6 March 2019. The Shares delivered are in respect of the payment of
the Share element of the individual's fixed remuneration for the period 1
April 2025 to 6 May 2025. The Shares are subject to a holding period with
restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 44,562
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 23,395
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 23,395
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Anna Cross
2 Reason for the notification
a) Position/status Group Finance Director
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 24 May 2022. The Shares delivered are in respect of the payment of the
Share element of the individual's fixed remuneration for the period 1 April
2025 to 6 May 2025. The Shares are subject to a holding period with
restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 27,898
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 13,112
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 13,112
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Alistair Currie
2 Reason for the notification
a) Position/status Group Chief Operating Officer and Chief Executive of Barclays Execution
Services (BX)
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y92JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 28 August 2019. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 46,061
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 21,648
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 21,648
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Stephen Dainton
2 Reason for the notification
a) Position/status President of Barclays Bank PLC and Head of Investment Bank Management
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y92JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 20 February 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 104,598
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 49,161
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 49,161
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Cathal Deasy
2 Reason for the notification
a) Position/status Global Co-Head of Investment Banking
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y92JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 20 February 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 98,840
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 46,454
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 46,454
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Matt Fitzwater
2 Reason for the notification
a) Position/status Group Chief Compliance Officer
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y92JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 12 November 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 23,030
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 10,824
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 10,824
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Matthew Hammerstein
2 Reason for the notification
a) Position/status Chief Executive of the UK Corporate Bank and Head of Public Policy and
Corporate Responsibility
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 28 August 2019. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 26,531
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 12,469
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 12,469
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Adeel Khan
2 Reason for the notification
a) Position/status Head of Global Markets
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 20 February 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 111,315
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 52,318
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 52,318
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Vim Maru
2 Reason for the notification
a) Position/status Chief Executive of Barclays UK
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 21 February 2023. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 38,384
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 18,040
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 18,040
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Denny Nealon
2 Reason for the notification
a) Position/status Chief Executive Officer for Barclays US Consumer Bank (USCB) and Barclays Bank
Delaware (BBDE)
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 20 February 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 9,446
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 4,458
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 4,458
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Tristram Roberts
2 Reason for the notification
a) Position/status Group 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 Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 6 March 2019. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 59,669
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 28,044
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 28,044
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Taalib Shaah
2 Reason for the notification
a) Position/status Group Chief Risk Officer
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 17 November 2020. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 53,738
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 25,256
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s)
£ 3.256 per Share 25,256
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Stephen Shapiro
2 Reason for the notification
a) Position/status Group General Counsel
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 27 August 2020. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s): Gross Number of Shares received
£3.256 per Share 26,869
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 12,628
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 12,628
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Sasha Wiggins
2 Reason for the notification
a) Position/status CEO, Private Bank and Wealth Management
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 6 June 2020. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s): Gross Number of Shares received
£3.256 per Share 17,273
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 8,118
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 8,118
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Taylor Wright
2 Reason for the notification
a) Position/status Global Co-Head of Investment Banking
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
4.1 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The trustee of the Barclays Group (PSP) Employees' Benefit Trust delivered
Shares to the individual described above pursuant to a trading plan entered
into on 26 February 2024. The Shares delivered are in respect of the quarterly
payment of the Share element of the individual's fixed remuneration for the
three month period to 30 June 2025. The Shares are subject to a holding period
with restrictions lifting in equal tranches over five years (20% each year).
c) Price(s) and volume(s)
Price(s) Volume(s): Gross Number of Shares received
£3.256 per Share 84,844
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction London Stock Exchange (XLON)
4.2 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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c) Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 43,312
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-03-07
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
London Stock Exchange (XLON)
4.2
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 of the financial instrument, type of instrument
Identification code
Shares
GB0031348658
b)
Nature of the transaction
Sale of Shares to cover income tax and social security liability due on the
delivery of Shares.
c)
Price(s) and volume(s)
Price(s) Volume(s): Number of Shares sold
£3.256 per Share 43,312
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-03-07
f)
Place of the transaction
London Stock Exchange (XLON)
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name C.S. Venkatakrishnan
2 Reason for the notification
a) Position/status Group Chief Executive
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
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 of the financial instrument, type of instrument Shares
Identification code
GB0031348658
b) Nature of the transaction The Company granted the individual described above a conditional award to
acquire Shares under the Barclays Long Term Incentive Plan (the "Award").
Shares under the Award typically vest in five tranches over seven years,
subject to performance conditions being met.
c) Price(s) and volume(s)
Price(s) Volume(s): Number of Shares received
£2.799 per Share 3,124,051
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction Outside a trading venue
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
Outside a trading venue
1 Details of the person discharging managerial responsibilities / person closely
associated
a) Name Anna Cross
2 Reason for the notification
a) Position/status Group Finance Director
b) Initial notification /Amendment Initial notification
3 Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
a) Name Barclays PLC
b) LEI 213800LBQA1Y9L22JB70
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 of the financial instrument, type of instrument Shares
Identification code GB0031348658
b) Nature of the transaction The Company granted the individual described above a conditional award to
acquire Shares under the Barclays Long Term Incentive Plan (the "Award").
Shares under the Award typically vest in five tranches over seven years,
subject to performance conditions being met.
c) Price(s) and volume(s)
Price(s) Volume(s): Number of Shares received
£ 2.799 per Share 1,696,883
d) Aggregated information Not applicable
- Aggregated volume
- Price
e) Date of the transaction 2025-06-20
f) Place of the transaction Outside a trading venue
d)
Aggregated information
- Aggregated volume
- Price
Not applicable
e)
Date of the transaction
2025-06-20
f)
Place of the transaction
Outside a trading venue
For further information please contact:
Investor Relations Media Relations
Marina Shchukina +44 (0) 20 7116 2526 Jonathan Tracey +44 (0) 20 7116 4755
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact
rns@lseg.com (mailto:rns@lseg.com)
or visit
www.rns.com (http://www.rns.com/)
.
RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our
Privacy Policy (https://www.lseg.com/privacy-and-cookie-policy)
. END DSHPPUUPQUPAGAC