Fredag 4 Juli | 02:43:32 Europe / Stockholm

Kalender

Est. tid*
2025-05-15 - X-dag halvårsutdelning ICGC 8.607879
2025-05-08 - Årsstämma
2024-09-12 - X-dag halvårsutdelning ICGC 4.301343
2024-05-16 - X-dag halvårsutdelning ICGC 8.484688
2024-05-09 - Årsstämma
2024-03-28 - Bokslutskommuniké 2023
2023-09-14 - X-dag halvårsutdelning ICGC 4.174467
2023-05-18 - X-dag halvårsutdelning ICGC 8.202127
2022-09-15 - X-dag halvårsutdelning ICGC 3.911195
2022-06-09 - X-dag halvårsutdelning ICGC 7.70175
2020-05-28 - X-dag halvårsutdelning ICGC 0.0899
2019-09-19 - X-dag halvårsutdelning ICGC 0.0442
2019-05-16 - X-dag halvårsutdelning ICGC 0.0856
2018-09-20 - X-dag halvårsutdelning ICGC 0.0421
2018-05-17 - X-dag halvårsutdelning ICGC 0.0815
2017-09-21 - X-dag halvårsutdelning ICGC 0.0401
2017-05-25 - X-dag halvårsutdelning ICGC 0.0776
2016-09-22 - X-dag halvårsutdelning ICGC 0.0382
2016-05-26 - X-dag halvårsutdelning ICGC 0.07387
2015-09-17 - X-dag halvårsutdelning ICGC 0.03638
2015-06-04 - X-dag halvårsutdelning ICGC 0.07035
2014-09-17 - X-dag bonusutdelning ICGC 0.03465
2025-03-04 18:00:00
Notification of Transactions by Persons Discharging Managerial Responsibilities and Persons Closely Associated with them


 

[This form is required for disclosure of transactions under Article 19 of Regulation (EU) No 596/2014 of the European Parliament and of the Council of 16 April 2014 on market abuse (Market Abuse Regulation)]
1 Details of the person discharging managerial responsibilities/person closely associated


 
a)


 
Name


 
Andrew Sheen


 

 


 
2 Reason for the notification


 
a) Position/status


 


 
PDMR / Managing Director – Ferries Division
b) Initial Notification Amendment


 
Initial Notification
3 Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor
a) Name


 
Irish Continental Group plc
b) LEI 635400FQKB6QXERQOC74


 
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
Identification code
ICG Unit


 

ISIN : IE00BLP58571
b) Nature of the transaction (i)      Exercise of previously vested options
(ii)     Vesting and exercise of 2022 awards under the terms of the Irish Continental Group plc Performance Share Plan
(iii)     Sale of ICG Units
(iv)    Grant of options under the Irish Continental Group plc Performance Share Plan


 
c) Price(s) and volume(s)
 

                   Price(s)                             Volume(s)
(i)      €3.58                                                250,000
(ii)     €0.065                                              196,000
(iii)    €5.15                                                362,430
(iv)    €0.065                                              139,500


 


 
             Aggregated information
— Aggregated volume
— Price
N/A
e) Date of the transaction 4 March 2025


 
f) Place of the transaction Dublin, Ireland


 
g) Additional Information