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                           |Arthur Lindsell (PCA to 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)         ||___________________________|_________| |
|  |                               ||75,786.8655 pence per share|50       | |
|  |                               ||___________________________|_________| |
|__|_______________________________|________________________________________|
|  |Aggregated information         |                                        |
|  |                               |50 ordinary 75p shares                  |
|d)|- Aggregated volume            |                                        |
|  |                               |75,786.8655 pence per share             |
|  |- Price                        |                                        |
|__|_______________________________|________________________________________|
|e)|Date of the transaction        |8 April 2025                            |
|__|_______________________________|________________________________________|
|f)|Place of the transaction       |London Stock Exchange (XLON)            |
|__|_______________________________|________________________________________|


 

 ________________________________________________________________________
|Details of the person discharging managerial responsibilities / person  |
|closely associated                                                      |
|________________________________________________________________________|
|Name                           |Arthur Lindsell (PCA to Michael         |
|                               |Lindsell)                               |
|_______________________________|________________________________________|
|Reason for the notification                                             |
|________________________________________________________________________|
|Position/status                |Non-executive Director (purchase by PCA)|
|_______________________________|________________________________________|
|Initial notification /Amendment|Initial notification                    |
|_______________________________|________________________________________|
|Details of the issuer, emission allowance market participant, auction   |
|platform, auctioneer or auction monitor                                 |
|________________________________________________________________________|
|Name                           |The Lindsell Train Investment Trust plc |
|_______________________________|________________________________________|
|LEI                            |213800VMBJH2TCFDZU08                    |
|_______________________________|________________________________________|
|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                       |
|________________________________________________________________________|
|Description of the financial   |Ordinary 75p shares                     |
|instrument, type of instrument |                                        |
|                               |GB0031977944                            |
|Identification code            |                                        |
|_______________________________|________________________________________|
|Nature of the transaction      |Acquisition of shares                   |
|_______________________________|________________________________________|
|                               | ____________________________________   |
|                               ||Price(s)                  |Volume(s)|  |
|Price(s) and volume(s)         ||__________________________|_________|  |
|                               ||73,343.306 pence per share|75       |  |
|                               ||__________________________|_________|  |
|_______________________________|________________________________________|
|Aggregated information         |                                        |
|                               |75 ordinary 75p shares                  |
|- Aggregated volume            |                                        |
|                               |73,343.306 pence per share              |
|- Price                        |                                        |
|_______________________________|________________________________________|
|Date of the transaction        |8 April 2025                            |
|_______________________________|________________________________________|
|Place of the transaction       |London Stock Exchange (XLON)            |
|_______________________________|________________________________________|


 

 

 ________________________________________________________________________
|Details of the person discharging managerial responsibilities / person  |
|closely associated                                                      |
|________________________________________________________________________|
|Name                           |Arthur Lindsell (PCA to Michael         |
|                               |Lindsell)                               |
|_______________________________|________________________________________|
|Reason for the notification                                             |
|________________________________________________________________________|
|Position/status                |Non-executive Director (purchase by PCA)|
|_______________________________|________________________________________|
|Initial notification /Amendment|Initial notification                    |
|_______________________________|________________________________________|
|Details of the issuer, emission allowance market participant, auction   |
|platform, auctioneer or auction monitor                                 |
|________________________________________________________________________|
|Name                           |The Lindsell Train Investment Trust plc |
|_______________________________|________________________________________|
|LEI                            |213800VMBJH2TCFDZU08                    |
|_______________________________|________________________________________|
|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                       |
|________________________________________________________________________|
|Description of the financial   |Ordinary 75p shares                     |
|instrument, type of instrument |                                        |
|                               |GB0031977944                            |
|Identification code            |                                        |
|_______________________________|________________________________________|
|Nature of the transaction      |Acquisition of shares                   |
|_______________________________|________________________________________|
|                               | _____________________________________  |
|                               ||Price(s)                   |Volume(s)| |
|Price(s) and volume(s)         ||___________________________|_________| |
|                               ||73,116.3462 pence per share|25       | |
|                               ||___________________________|_________| |
|_______________________________|________________________________________|
|Aggregated information         |                                        |
|                               |25 ordinary 75p shares                  |
|- Aggregated volume            |                                        |
|                               |73,116.3462 pence per share             |
|- Price                        |                                        |
|_______________________________|________________________________________|
|Date of the transaction        |9 April 2025                            |
|_______________________________|________________________________________|
|Place of the transaction       |London Stock Exchange (XLON)            |
|_______________________________|________________________________________|


 

 

 

 ________________________________________________________________________
|Details of the person discharging managerial responsibilities / person  |
|closely associated                                                      |
|________________________________________________________________________|
|Name                           |Arthur Lindsell (PCA to Michael         |
|                               |Lindsell)                               |
|_______________________________|________________________________________|
|Reason for the notification                                             |
|________________________________________________________________________|
|Position/status                |Non-executive Director (purchase by PCA)|
|_______________________________|________________________________________|
|Initial notification /Amendment|Initial notification                    |
|_______________________________|________________________________________|
|Details of the issuer, emission allowance market participant, auction   |
|platform, auctioneer or auction monitor                                 |
|________________________________________________________________________|
|Name                           |The Lindsell Train Investment Trust plc |
|_______________________________|________________________________________|
|LEI                            |213800VMBJH2TCFDZU08                    |
|_______________________________|________________________________________|
|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                       |
|________________________________________________________________________|
|Description of the financial   |Ordinary 75p shares                     |
|instrument, type of instrument |                                        |
|                               |GB0031977944                            |
|Identification code            |                                        |
|_______________________________|________________________________________|
|Nature of the transaction      |Acquisition of shares                   |
|_______________________________|________________________________________|
|                               | _____________________________________  |
|                               ||Price(s)                   |Volume(s)| |
|Price(s) and volume(s)         ||___________________________|_________| |
|                               ||72,965.0273 pence per share|25       | |
|                               ||___________________________|_________| |
|_______________________________|________________________________________|
|Aggregated information         |                                        |
|                               |25 ordinary 75p shares                  |
|- Aggregated volume            |                                        |
|                               |72,965.0273 pence per share             |
|- Price                        |                                        |
|_______________________________|________________________________________|
|Date of the transaction        |9 April 2025                            |
|_______________________________|________________________________________|
|Place of the transaction       |London Stock Exchange (XLON)            |
|_______________________________|________________________________________|


 

 

 ________________________________________________________________________
|Details of the person discharging managerial responsibilities / person  |
|closely associated                                                      |
|________________________________________________________________________|
|Name                           |Arthur Lindsell (PCA to Michael         |
|                               |Lindsell)                               |
|_______________________________|________________________________________|
|Reason for the notification                                             |
|________________________________________________________________________|
|Position/status                |Non-executive Director (purchase by PCA)|
|_______________________________|________________________________________|
|Initial notification /Amendment|Initial notification                    |
|_______________________________|________________________________________|
|Details of the issuer, emission allowance market participant, auction   |
|platform, auctioneer or auction monitor                                 |
|________________________________________________________________________|
|Name                           |The Lindsell Train Investment Trust plc |
|_______________________________|________________________________________|
|LEI                            |213800VMBJH2TCFDZU08                    |
|_______________________________|________________________________________|
|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                       |
|________________________________________________________________________|
|Description of the financial   |Ordinary 75p shares                     |
|instrument, type of instrument |                                        |
|                               |GB0031977944                            |
|Identification code            |                                        |
|_______________________________|________________________________________|
|Nature of the transaction      |Acquisition of shares                   |
|_______________________________|________________________________________|
|                               | ___________________________________    |
|                               ||Price(s)                 |Volume(s)|   |
|Price(s) and volume(s)         ||_________________________|_________|   |
|                               ||73,719.05 pence per share|100      |   |
|                               ||_________________________|_________|   |
|_______________________________|________________________________________|
|Aggregated information         |                                        |
|                               |100 ordinary 75p shares                 |
|- Aggregated volume            |                                        |
|                               |73,719.05 pence per share               |
|- Price                        |                                        |
|_______________________________|________________________________________|
|Date of the transaction        |9 April 2025                            |
|_______________________________|________________________________________|
|Place of the transaction       |London Stock Exchange (XLON)            |
|_______________________________|________________________________________|


 

Name of authorised official of issuer responsible for making notification:

 

Victoria Hale, for and on behalf of Frostrow Capital LLP

Company Secretary to The Lindsell Train Investment Trust plc