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RNS Number : 1599U Pennon Group PLC 21 January 2025
Director/PDMR Shareholding
Pennon Group plc
Notification of transactions of persons discharging managerial
responsibilities
The notification below is made in accordance with the requirements of the EU
Market Abuse Regulation.
1 Details of the person discharging managerial responsibilities/person closely
associated
a) Name SUSAN JANE DAVY
2 Reason for the notification
a) Position/status GROUP 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 PENNON GROUP PLC
b) LEI 213800V1CCTS41GWH423
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 ORDINARY SHARES OF 61.05p EACH
Identification code
GB00BNNTLN49
b) Nature of the transaction PURCHASE OF SHARES TO GO INTO SHARE INCENTIVE PLAN (SIP)
c) Price(s) and volume(s) Price(s) Volume(s)
528p 29
d) Aggregated information
- Volume N/A
- Price
- Total
e) Date of the transaction 20 January 2025
f) Place of the transaction London Stock Exchange (XLON)
d)
Aggregated information
- Volume
- Price
- Total
N/A
e)
Date of the transaction
20 January 2025
f)
Place of the transaction
London Stock Exchange (XLON)
Details of the person discharging managerial responsibilities/person closely
associated
Name LAURA FLOWERDEW
Reason for the notification
Position/status GROUP CHIEF FINANCIAL OFFICER
Initial notification/Amendment INITIAL NOTIFICATION
Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Name PENNON GROUP PLC
LEI 213800V1CCTS41GWH423
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
Description of the financial instrument, type of instrument ORDINARY SHARES OF 61.05p EACH
Identification code
GB00BNNTLN49
Nature of the transaction PURCHASE OF SHARES TO GO INTO SHARE INCENTIVE PLAN (SIP)
Price(s) and volume(s) Price(s) Volume(s)
528p 28
Aggregated information
- Volume N/A
- Price
- Total
Date of the transaction 20 January 2025
Place of the transaction London Stock Exchange (XLON)
Aggregated information
- Volume
- Price
- Total
N/A
Date of the transaction
20 January 2025
Place of the transaction
London Stock Exchange (XLON)
Name of authorised official of issuer responsible for making notification.
ANDREW GARARD, GROUP GENERAL COUNSEL AND COMPANY SECRETARY
Date of notification: 21 January 2025
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