TIDMBARC

RNS Number : 6132D

Barclays PLC

22 June 2023

22 June 2023

Notification and public disclosure of transactions by persons discharging managerial responsibilities and persons closely associated with them

Barclays PLC (the "Company") announces certain transactions by persons discharging managerial responsibility ("PDMRs") in ordinary shares of the Company with a nominal value of 25 pence each ("Shares").

1. On 20 June 2023 the Trustee notified the Company that on 20 June 2023 it delivered Shares in respect of the quarterly payment of the Share element of PDMRs' fixed remuneration for the three month period to 30 June 2023. The Shares are subject to a holding period with restrictions lifting in equal tranches over five years (20% each year).

1. Shares in respect of the quarterly payment of the Share element of PDMRs' fixed remuneration

 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        C.S. Venkatakrishnan 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group Chief Executive 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per 
                                        Share                233,330 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                121,564 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Anna Cross 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group Finance Director 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 quarterly payment of 
                                     the Share element of the individual's 
                                     fixed remuneration for the three month 
                                     period to 30 June 2023. The Shares are 
                                     subject to a holding period with restrictions 
                                     lifting in equal tranches over five 
                                     years. 
       --------------------------  ----------------------------------------------- 
 c)     Price(s) and volume(s)        Price(s)         Volume(s): Gross 
                                                         Number of Shares 
                                                         received 
                                       GBP1.5402 per 
                                        Share                146,084 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per Share         68,659 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Paul Compton 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Global Head of the Corporate and Investment 
                                     Bank and President of BBPLC 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                     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 2023. 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 
                                       GBP1.5402 per 
                                        Share                246,818 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                134,145 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Alistair Currie 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group Chief Operating Officer and Chief 
                                     Executive of Barclays Execution Services 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y92JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per Share         97,389 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per Share         45,772 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Matthew Hammerstein 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             CEO, Barclays UK PLC 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per Share         56,096 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per Share         26,365 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Vim Maru 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Global Head of Consumer Banking and 
                                     Payments 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per Share         81,158 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per Share         38,144 
                                                             ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Tristram Roberts 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group HR Director 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per 
                                        Share                126,160 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                59,295 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Taalib Shaah 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group Chief Risk Officer 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per 
                                        Share                113,621 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                53,401 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Stephen Shapiro 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group General Counsel 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per 
                                        Share                56,810 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                26,700 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 
 
        Details of the person discharging managerial responsibilities 
  1      / person closely associated 
 a)     Name                        Sasha Wiggins 
       --------------------------  ----------------------------------------------- 
        Reason for the notification 
  2 
       --------------------------------------------------------------------------- 
 a)     Position/status             Group Head of Public Policy and Corporate 
                                     Responsibility 
       --------------------------  ----------------------------------------------- 
 b)     Initial notification        Initial notification 
         /Amendment 
       --------------------------  ----------------------------------------------- 
        Details of the issuer, emission allowance market participant, 
  3      auction platform, auctioneer or auction monitor 
       --------------------------------------------------------------------------- 
 a)     Name                        Barclays PLC 
       --------------------------  ----------------------------------------------- 
 b)     LEI                         213800LBQA1Y9L22JB70 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.1    (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          Ordinary shares with a nominal value 
         financial instrument,       of 25 pence each ("Shares") 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 2023. 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 
                                       GBP1.5402 per 
                                        Share                36,521 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
        Details of the transaction(s): section to be repeated for 
  4.2    (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          Shares 
         financial instrument, 
         type of instrument 
                                     GB0031348658 
         Identification code 
       --------------------------  ----------------------------------------------- 
 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 
                                       GBP1.5402 per 
                                        Share                17,164 
                                                       ------------------ 
       --------------------------  ----------------------------------------------- 
 d)     Aggregated information      Not applicable 
 
         - Aggregated volume 
 
         - Price 
       --------------------------  ----------------------------------------------- 
 e)     Date of the transaction     2023-06-20 
       --------------------------  ----------------------------------------------- 
 f)     Place of the transaction    London Stock Exchange (XLON) 
       --------------------------  ----------------------------------------------- 
 

For further information please contact:

 
 Investor Relations      Media Relations 
 Adam Strachan           Jonathan Tracey 
 +1 212 526 8442 
  James Johnson 
  +44 (0)20 7116 7233    +44 (0)20 7116 4755 
 

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END

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(END) Dow Jones Newswires

June 22, 2023 07:15 ET (11:15 GMT)

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