Level 2

Director/PDMR Shareholding

By Sharecast

Date: Tuesday 23 Dec 2025







RNS Number : 7281M
C&C Group Plc
23 December 2025
 



23 December 2025


 


C&C Group plc ('C&C')


 


Notification of Transactions by Persons Discharging Managerial Responsibilities and Persons Closely Associated with them


 


Share Incentive Plan - Retrospective announcement in respect of Dividend Reinvestment


The Company was notified by Computershare Share Plan Trustees Limited, the administrator of the Company's Share Incentive Plan ("SIP"), that cash dividends paid on shares held within the SIP on 12 June 2025 and 13 November 2025 were reinvested and used to purchase Dividend Shares on 25 July 2025 and 19 December 2025, on behalf of the Company's persons discharging managerial responsibilities ('PDMR'), at the respective times. The purchase was made in accordance with the SIP scheme rules for the reinvestment of cash shares into Dividend Shares.


 


 




































Name of PDMR



Dividend Shares



Price



Date



Cara Chambers



10



£1.344



19 December 2025






10



£1.826



25 July 2025



Andrea Pozzi



6



£1.344



19 December 2025






8



£1.826



25 July 2025



 


The notifications required in accordance with DTR 3.1 and Article 19 of the UK Market Abuse Regulation, are as follows:













































































1



Details of the person discharging managerial responsibilities/person closely associated


 



a)



Name



Cara Chambers



2



Reason for the notification


 



a)



Position/status



Person discharging managerial responsibilities (Chief Marketing Officer)



b)



Initial Notification Amendment



Initial Notification


 


 



3



Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor



a)



Name



C&C Group plc



b)



LEI



635400LNUHA2LDXXV850



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



Ordinary Shares of €0.01 each


 


 


ISIN: IE00B010DT83



b)



Nature of the transaction  



Re-Investment of dividends through the C&C Group plc Share Incentive Plan, held through the SIP Trustee.



c)



Price(s) and volume(s)















Price(s)



Volume(s)



1.     £1.344


2.     £1.826



     1.  10


     2.  10





d)



Aggregated information


- Aggregated volume


- Price



 














Aggregated volume



Aggregated price



1.   10


2.   10



1.   £13.44


2.   £18.26



 


 



e)



Date of the transaction



1.    19 December 2025


2.    25 July 2025



f)



Place of the transaction



London Stock Exchange (XLON)



 


 


 


 


 













































































1



Details of the person discharging managerial responsibilities/person closely associated


 



a)



Name



Andrea Pozzi



2



Reason for the notification


 



a)



Position/status



Person discharging managerial responsibilities (Chief Operations Officer)



b)



Initial Notification Amendment



Initial Notification


 


 



3



Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor



a)



Name



C&C Group plc



b)



LEI



635400LNUHA2LDXXV850



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



Ordinary Shares of €0.01 each


 


 


ISIN: IE00B010DT83



b)



Nature of the transaction  



Re-Investment of dividends through the C&C Group plc Share Incentive Plan, held through the SIP Trustee.


 



c)



Price(s) and volume(s)















Price(s)



Volume(s)



1.     £1.344


2.    £1.826



1.    6


2.    8


 





d)



Aggregated information


- Aggregated volume


- Price



 














Aggregated volume



Aggregated price



1.    6


2.    8



1.   £8.064


2.   £14.608



 


 



e)



Date of the transaction



1.    19 December 2025


2.    25 July 2025



f)



Place of the transaction



London Stock Exchange (XLON)



 






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