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Nyrstar Holdings Plc

EANS-DD: Correction: Nyrstar Holdings Plc
Notification concerning transactions by persons performing managerial responsibilities pursuant to article 19 Market Abuse Regulation (MAR)

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  Directors' Dealings-Announcement pursuant to artikle 19 MAR transmitted by
  euro adhoc with the aim of a Europe-wide distribution. The issuer is
  responsible for the content of this announcement.
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personal data:


responsible party:

name: Jose Larocca (natural person)

--------------------------------------------------------------------------------


reason:

reason: responsible party is a person with managerial responsibilities
function: Manager

--------------------------------------------------------------------------------


issuer information:

name: Nyrstar Holdings Plc
Legal Entity Identifier (LEI): 549300K1IQ4OZWY41V31

--------------------------------------------------------------------------------


information about deal:

ISIN: XS2035458350
description of the financial instrument: Debt instrument
type: acquisition
date: 06.05.2021; UTC+02:00
market: Vienna Stock Exchange
currency: US-Dollar


               price               volume
           78.33323%            1,500,000

total volume: 1
total price: USD 1,174,998.45
average price: USD 1,174,998.45


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explanation: Correction following notification of error in conversion factor -
restated




original announcement:
--------------------------------------------------------------------------------
EANS-DD: Nyrstar Holdings Plc / Notification concerning transactions by persons
performing managerial responsibilities pursuant to article 19 Market Abuse
Regulation (MAR)

personal data:


responsible party:

name: Jose Larocca (natural person)

--------------------------------------------------------------------------------


reason:

reason: responsible party is a person with managerial responsibilities
function: Manager

--------------------------------------------------------------------------------


issuer information:

name: Nyrstar Holdings Plc
Legal Entity Identifier (LEI): 549300K1IQ4OZWY41V31

--------------------------------------------------------------------------------


information about deal:

ISIN: XS2035458350
description of the financial instrument: Debt instrument
type: acquisition
date: 06.05.2021; UTC+02:00
market: Vienna Stock Exchange
currency: US-Dollar


               price               volume
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000
              80.40%            1,500,000

total volume: 1
total price: USD 1,206,000.00
average price: USD 1,206,000.00


--------------------------------------------------------------------------------





Inquiry note:



end of original announcement                euro adhoc
--------------------------------------------------------------------------------

end of announcement                         euro adhoc
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issuer:       Nyrstar Holdings Plc
              Blue Harbour Business Centre Level 1
              A-XBX 1027 Malta
phone:        +30 213 020 2701
FAX:
mail:          maria.simitzi@trafigura.com
WWW:
ISIN:         XS2035458350
indexes:
stockmarkets: Wien
language:     English

Original content of: Nyrstar Holdings Plc, transmitted by news aktuell

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