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REG-Rightmove Plc: Director/PDMR Shareholding

28 November 2018

RIGHTMOVE PLC

DIRECTOR / PDMR SHAREHOLDING

Rightmove plc (the ‘Company’) has received the following notification from
Peter Brooks-Johnson, Chief Executive.

On 27 November 2018, Peter exercised the following rights to acquire:
*
66,170 deferred shares awarded at nil cost in March 2016 in respect of his
2015 financial year bonus, ahead of the last exercise date of 28 February
2019.Peter subsequently sold 31,233 shares, at an average price of £4.370 per
share to cover tax and other deductions and retained the balance of 34,937
shares.
*
260,210 performance shares awarded at nil cost in May 2014, including rolled
up dividend payments of 8,810 shares, ahead of the last exercise date of 2
March 2019.Peter subsequently sold 122,820 shares at an average price of
£4.370 per share to cover tax and other deductions and retained the balance
of 137,390 shares.
*
1,392,860 shares under an unapproved executive option awarded in March 2009
(which would otherwise lapsed on 4 March 2019) at an exercise price of £0.224
per share. The shares were net settled and Peter subsequently sold 623,440
shares at a price of £4.370 per share to cover tax and other deductions and
retained the balance of 697,406 shares.

The total number of ordinary shares sold represented 0.087% of the ordinary
shares in issue (less shares held in treasury) prior to such sale.

Following these transactions, the beneficial shareholding of Peter
Brooks-Johnson is 1,771,493 ordinary shares representing 0.198% of the
ordinary shares in issue (excluding shares held in treasury).

Peter also holds Unapproved options over 525,530 ordinary shares, Sharesave
options over 8,083 ordinary shares, 103,900 deferred shares and 871,810
performance shares.

Name and contact number for enquiries:

Sandra Odell
Company Secretary     
01908 712058

NOTIFICATION OF TRANSACTIONS BY

PERSONS DISCHARGING MANAGERIAL RESPONSIBILITIES

 1.  Details of the person discharging managerial responsibilities/person closely associated                                                                                                                      
  a) Name                                                                              Peter Brooks-Johnson                                                                                                       
 2.  Reason for notification                                                                                                                                                                                      
  a) Position/status                                                                   Chief Executive Officer                                                                                                    
  b) Initial Notification/Amendment                                                    Initial notification                                                                                                       
 3.  Details of the issuer                                                                                                                                                                                        
  a) Name                                                                              Rightmove plc                                                                                                              
  b) Legal Entity Identifier                                                           2138001JXGCFKBXYB828                                                                                                       
 4.  Details of the transaction: 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 financial instrument Identification code:                          Ordinary Shares of 1p each GB00BGDT3G23                                                                                    
  b) Nature of transaction                                                             Exercise of options and as described above.                                                                                
  c) Prices and volumes                                                                Price                                                                      Volume                                    Total 
     1.                                                                                                            GBP 4.369571                                   31,233                           GBP136,474.811 
     2.                                                                                                                    GBP0                                   34,937                                     GBP0 
     3.                                                                                                            GBP 4.369571                                  122,820                           GBP536,670.710 
     4.                                                                                                                    GBP0                                  137,390                                     GBP0 
     5.                                                                                                            GBP 4.369571                                  623,440                         GBP2,724,165.344 
     6.                                                                                                                   GBP 0                                  697,406                                     GBP0 
  d) Aggregated information: Transactions reported individually, not in aggregate.     Price                                                                                                                Total 
                                            -                                                                                 -                                        - 
  e) Date of transaction                                                               27 November 2018                                                                                                           
  f) Place of transaction                                                              London Stock Exchange (XLON)                                                                                               



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