The Lindsell Train Investment Trust plc - Director/PDMR Shareholding
Notification and public disclosure of transactions by persons discharging managerial responsibilities and persons closely associated with them
___________________________________________________________________________ |1 |Details of the person discharging managerial responsibilities / person | | |closely associated | |__|________________________________________________________________________| |a)|Name |Michael Lindsell | |__|_______________________________|________________________________________| |2 |Reason for the notification | |__|________________________________________________________________________| |a)|Position/status |Non-executive Director (purchase by PCA)| |__|_______________________________|________________________________________| |b)|Initial notification /Amendment|Initial notification | |__|_______________________________|________________________________________| |3 |Details of the issuer, emission allowance market participant, auction | | |platform, auctioneer or auction monitor | |__|________________________________________________________________________| |a)|Name |TheLindsell Train Investment Trust plc | |__|_______________________________|________________________________________| |b)|LEI |213800VMBJH2TCFDZU08 | |__|_______________________________|________________________________________| | |Details of the transaction(s): section to be repeated for (i) each type | |4 |of instrument; (ii) each type of transaction; (iii) each date; and (iv) | | |each place where transactions have been conducted | |__|________________________________________________________________________| | |Description of the financial |Ordinary 75p shares | |a)|instrument, type of instrument | | | | |GB0031977944 | | |Identification code | | |__|_______________________________|________________________________________| |b)|Nature of the transaction |Acquisition of shares | |__|_______________________________|________________________________________| | | | ___________________________________ | | | ||Price(s) |Volume(s)| | |c)|Price(s) and volume(s) ||_________________________|_________| | | | ||83,049.80 pence per share|50 | | | | ||_________________________|_________| | |__|_______________________________|________________________________________| | |Aggregated information | | | | |50 ordinary 75p shares | |d)|- Aggregated volume | | | | |83,049.80 pence per share | | |- Price | | |__|_______________________________|________________________________________| |e)|Date of the transaction |9 May 2025 | |__|_______________________________|________________________________________| |f)|Place of the transaction |London Stock Exchange (XLON) | |__|_______________________________|________________________________________|
___________________________________________________________________________ |1 |Details of the person discharging managerial responsibilities / person | | |closely associated | |__|________________________________________________________________________| |a)|Name |Michael Lindsell | |__|_______________________________|________________________________________| |2 |Reason for the notification | |__|________________________________________________________________________| |a)|Position/status |Non-executive Director (purchase by PCA)| |__|_______________________________|________________________________________| |b)|Initial notification /Amendment|Initial notification | |__|_______________________________|________________________________________| |3 |Details of the issuer, emission allowance market participant, auction | | |platform, auctioneer or auction monitor | |__|________________________________________________________________________| |a)|Name |The Lindsell Train Investment Trust plc | |__|_______________________________|________________________________________| |b)|LEI |213800VMBJH2TCFDZU08 | |__|_______________________________|________________________________________| | |Details of the transaction(s): section to be repeated for (i) each type | |4 |of instrument; (ii) each type of transaction; (iii) each date; and (iv) | | |each place where transactions have been conducted | |__|________________________________________________________________________| | |Description of the financial |Ordinary 75p shares | |a)|instrument, type of instrument | | | | |GB0031977944 | | |Identification code | | |__|_______________________________|________________________________________| |b)|Nature of the transaction |Acquisition of shares | |__|_______________________________|________________________________________| | | | ___________________________________ | | | ||Price(s) |Volume(s)| | |c)|Price(s) and volume(s) ||_________________________|_________| | | | ||41,422.00 pence per share|50 | | | | ||_________________________|_________| | |__|_______________________________|________________________________________| | |Aggregated information | | | | |50 ordinary 75p shares | |d)|- Aggregated volume | | | | |41,422.00 pence per share | | |- Price | | |__|_______________________________|________________________________________| |e)|Date of the transaction |9 May 2025 | |__|_______________________________|________________________________________| |f)|Place of the transaction |London Stock Exchange (XLON) | |__|_______________________________|________________________________________|
Company Secretary to
