1
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Name of the issuer
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HSBC Holdings plc
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2
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Name of the person discharging managerial responsibilities or, where applicable, the name of the person connected with a person discharging managerial responsibilities
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J M Flint, a person discharging managerial responsibilities
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3
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Description of shares (including class), debentures, derivatives or any other financial instruments relating to shares
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US$0.50 ordinary shares
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4
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State the nature of the transactions
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(i) Acquisition of an interest in 64,239 shares arising from a conditional award of shares under the Group Performance Share Plan being the long-term incentive plan of the HSBC Share Plan 2011.
(ii) Acquisition of an interest in 55,667 shares arising from a deferred award of Restricted Shares under the HSBC Share Plan 2011.
(iii) Acquisition of an interest in 37,112 shares arising from a non-deferred award of Restricted Shares under the HSBC Share Plan 2011. The Trustees of the Plan sold 18,556 shares to meet the tax liability arising on the
immediate vesting of this award. The interest in the balance of 18,556 shares has been transferred to J M Flint as beneficial owner and must be retained for six months. (iv) Release by the Trustees of 67,510 ordinary shares upon the partial vesting of Restricted Shares awarded previously to J M Flint. The Trustees of the Plan sold a total of 50,633 shares including 33,756 to meet the
tax liability. 16,877 shares have been transferred to J M Flint as beneficial owner and must be retained for six months. |
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5
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Number of shares, derivatives or any other financial instruments relating to shares acquired
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(i) 64,239
(ii) 55,667
(iii) 37,112
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6
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Number of shares, derivatives or any other financial instruments relating to shares disposed
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(iii) 18,556
(iv) 50,633
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7
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Price per share or value of transaction
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(i)and (ii) N/A
(iii) £7.3220
(iv) £7.3294
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8
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Date and place of transactions
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(i), (ii) and (iii) 11 March 2013, London
(iv) 12 March 2013, London
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9
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Date issuer informed of transactions
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13 March 2013
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10
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Name of duly authorised officer/official of issuer responsible for making notification
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Steve Owen, Assistant Secretary, 020 7991 3879
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11
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Date of notification
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13 March 2013
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