|
|
14/05/2012 |
11/05/2012 |
BUY |
Simpson, Paul |
FD |
179 |
69.70 p |
£125 |
70.20 p |
125.66 |
0.72 |
1 |
| Also allocated 146 matching shares |
|
|
14/05/2012 |
11/05/2012 |
BUY |
Walsh, Kevin |
ED |
179 |
69.70 p |
£125 |
70.20 p |
125.66 |
0.72 |
1 |
| Also allocated 146 matching shares |
|
|
12/04/2012 |
11/04/2012 |
BUY |
Simpson, Paul |
FD |
178 |
70.15 p |
£125 |
70.20 p |
124.96 |
0.07 |
0 |
| Awarded 145 matching shares |
|
|
12/04/2012 |
11/04/2012 |
BUY |
Walsh, Kevin |
ED |
178 |
70.15 p |
£125 |
70.20 p |
124.96 |
0.07 |
0 |
| Awarded 145 matching shares |
|
|
14/03/2012 |
12/03/2012 |
BUY |
Simpson, Paul |
FD |
179 |
70.19 p |
£126 |
70.20 p |
125.66 |
0.01 |
0 |
| Also awarded 142 matching shares. |
|
|
14/03/2012 |
12/03/2012 |
BUY |
Walsh, Kevin |
ED |
178 |
70.19 p |
£125 |
70.20 p |
124.96 |
0.01 |
0 |
| Also awarded 141 matching shares. |
|
|
15/02/2012 |
13/02/2012 |
BUY |
Simpson, Paul |
FD |
169 |
73.95 p |
£125 |
70.20 p |
118.64 |
-5.07 |
-6 |
| Also allocated 136 matching shares |
|
|
15/02/2012 |
13/02/2012 |
BUY |
Walsh, Kevin |
ED |
169 |
73.95 p |
£125 |
70.20 p |
118.64 |
-5.07 |
-6 |
| Also allocated 136 matching shares |
| |
08/02/2012 |
01/02/2012 |
DRI |
Simpson, Paul |
FD |
8,061 |
73.07 p |
£5,890 |
70.20 p |
|
|
|
|
| |
08/02/2012 |
01/02/2012 |
DRI |
Walsh, Kevin |
ED |
12,757 |
73.07 p |
£9,322 |
70.20 p |
|
|
|
|
| |
07/02/2012 |
03/02/2012 |
BUY |
Simpson, Paul |
FD |
684 |
74.00 p |
£506 |
70.20 p |
480.17 |
-5.14 |
-26 |
|
| |
07/02/2012 |
03/02/2012 |
BUY |
Walsh, Kevin |
ED |
460 |
74.00 p |
£340 |
70.20 p |
322.92 |
-5.14 |
-17 |
|
|
|
13/01/2012 |
11/01/2012 |
BUY |
Simpson, Paul |
FD |
181 |
69.00 p |
£125 |
70.20 p |
127.06 |
1.74 |
2 |
| Also allocated 147 matching shares |
|
|
13/01/2012 |
11/01/2012 |
BUY |
Walsh, Kevin |
ED |
182 |
69.00 p |
£126 |
70.20 p |
127.76 |
1.74 |
2 |
| Also allocated 147 matching shares |
|
|
13/12/2011 |
12/12/2011 |
BUY |
Simpson, Paul |
FD |
177 |
70.50 p |
£125 |
70.20 p |
124.25 |
-0.43 |
-1 |
| Also allocated144 matching shares |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
13/12/2011 |
12/12/2011 |
BUY |
Walsh, Kevin |
ED |
177 |
70.50 p |
£125 |
70.20 p |
124.25 |
-0.43 |
-1 |
| Also allocated142 matching shares |
|
|
14/11/2011 |
11/11/2011 |
BUY |
Simpson, Paul |
FD |
173 |
72.44 p |
£125 |
70.20 p |
121.45 |
-3.09 |
-4 |
| Also allocated 139 matching shares |
|
|
14/11/2011 |
11/11/2011 |
BUY |
Walsh, Kevin |
ED |
172 |
72.44 p |
£125 |
70.20 p |
120.74 |
-3.09 |
-4 |
| Also allocated 139 matching shares |
|
|
13/10/2011 |
11/10/2011 |
BUY |
Simpson, Paul |
FD |
180 |
69.44 p |
£125 |
70.20 p |
126.36 |
1.09 |
1 |
| allocated 146 matching shares |
|
|
13/10/2011 |
11/10/2011 |
BUY |
Walsh, Kevin |
ED |
180 |
69.44 p |
£125 |
70.20 p |
126.36 |
1.09 |
1 |
| 146 matching shares allocated |
|
|
15/08/2011 |
15/08/2011 |
BUY |
Simpson, Paul |
FD |
169 |
74.23 p |
£125 |
70.20 p |
118.64 |
-5.43 |
-7 |
| Includes 134 matching shares |
|
|
15/08/2011 |
15/08/2011 |
BUY |
Walsh, Kevin |
ED |
169 |
74.23 p |
£125 |
70.20 p |
118.64 |
-5.43 |
-7 |
| Includes 134 matching shares |
|
|
09/08/2011 |
01/08/2011 |
BUY |
Simpson, Paul |
FD |
13,005 |
82.66 p |
£10,750 |
70.20 p |
9,129.51 |
-15.07 |
-1,620 |
| Dividend shares. |
|
|
09/08/2011 |
01/08/2011 |
BUY |
Walsh, Kevin |
ED |
20,584 |
82.66 p |
£17,015 |
70.20 p |
14,449.97 |
-15.07 |
-2,565 |
| Dividend shares. |
| |
03/08/2011 |
01/08/2011 |
BUY |
Simpson, Paul |
FD |
1,054 |
83.50 p |
£880 |
70.20 p |
739.91 |
-15.93 |
-140 |
|
| |
03/08/2011 |
01/08/2011 |
BUY |
Simpson, Paul |
FD |
1,054 |
83.50 p |
£880 |
70.20 p |
739.91 |
-15.93 |
-140 |
|
| |
03/08/2011 |
01/08/2011 |
BUY |
Walsh, Kevin |
ED |
690 |
83.50 p |
£576 |
70.20 p |
484.38 |
-15.93 |
-92 |
|
| |
12/07/2011 |
11/07/2011 |
BUY |
Simpson, Paul |
FD |
159 |
78.50 p |
£125 |
70.20 p |
111.62 |
-10.57 |
-13 |
|
| |
12/07/2011 |
11/07/2011 |
BUY |
Walsh, Kevin |
ED |
159 |
78.50 p |
£125 |
70.20 p |
111.62 |
-10.57 |
-13 |
|
|
|
14/06/2011 |
13/06/2011 |
BUY |
Simpson, Paul |
FD |
160 |
78.00 p |
£125 |
70.20 p |
112.32 |
-10.00 |
-12 |
| also allocated 127 matching shares. |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
14/06/2011 |
13/06/2011 |
BUY |
Walsh, Kevin |
ED |
160 |
78.00 p |
£125 |
70.20 p |
112.32 |
-10.00 |
-12 |
| also allocated 127 matching shares. |
|
|
12/05/2011 |
11/05/2011 |
BUY |
Simpson, Paul |
FD |
200 |
62.50 p |
£125 |
70.20 p |
140.40 |
12.32 |
15 |
| Also allocated 160 matching shares. |
|
|
12/05/2011 |
11/05/2011 |
BUY |
Walsh, Kevin |
ED |
200 |
62.50 p |
£125 |
70.20 p |
140.40 |
12.32 |
15 |
| Also allocated 160 matching shares. |
|
|
11/04/2011 |
11/04/2011 |
BUY |
Simpson, Paul |
FD |
200 |
62.50 p |
£125 |
70.20 p |
140.40 |
12.32 |
15 |
| Also allocated 164 matching shares. |
|
|
11/04/2011 |
11/04/2011 |
BUY |
Walsh, Kevin |
ED |
200 |
62.50 p |
£125 |
70.20 p |
140.40 |
12.32 |
15 |
| Also allocated 164 matching shares |
|
|
11/03/2011 |
11/03/2011 |
BUY |
Simpson, Paul |
FD |
197 |
63.50 p |
£125 |
70.20 p |
138.29 |
10.55 |
13 |
| Also allocated 156 matching shares. |
|
|
11/03/2011 |
11/03/2011 |
BUY |
Walsh, Kevin |
ED |
197 |
63.50 p |
£125 |
70.20 p |
138.29 |
10.55 |
13 |
| Also allocated 156 matching shares. |
|
|
14/02/2011 |
14/02/2011 |
BUY |
Simpson, Paul |
FD |
210 |
59.50 p |
£125 |
70.20 p |
147.42 |
17.98 |
22 |
| Also awarded 167 matching shares. |
|
|
14/02/2011 |
14/02/2011 |
BUY |
Walsh, Kevin |
ED |
210 |
59.50 p |
£125 |
70.20 p |
147.42 |
17.98 |
22 |
| Also awarded 167 matching shares. |
| |
04/02/2011 |
01/02/2011 |
DRI |
Simpson, Paul |
FD |
7,905 |
58.75 p |
£4,644 |
70.20 p |
|
|
|
|
| |
04/02/2011 |
01/02/2011 |
DRI |
Walsh, Kevin |
ED |
12,512 |
58.75 p |
£7,351 |
70.20 p |
|
|
|
|
| |
03/02/2011 |
01/02/2011 |
DRI |
Simpson, Paul |
FD |
610 |
58.50 p |
£357 |
70.20 p |
|
|
|
|
| |
03/02/2011 |
01/02/2011 |
DRI |
Walsh, Kevin |
ED |
386 |
58.50 p |
£226 |
70.20 p |
|
|
|
|
|
|
14/01/2011 |
13/01/2011 |
BUY |
Simpson, Paul |
FD |
209 |
59.75 p |
£125 |
70.20 p |
146.72 |
17.49 |
22 |
| Also awarded 168 matching shares |
|
|
14/01/2011 |
13/01/2011 |
BUY |
Walsh, Kevin |
ED |
209 |
59.75 p |
£125 |
70.20 p |
146.72 |
17.49 |
22 |
| Also awarded 166 matching shares |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
14/01/2011 |
13/01/2011 |
BUY |
Renucci, Paul |
RES |
209 |
59.75 p |
£125 |
70.20 p |
146.72 |
17.49 |
22 |
| Also awarded 166 matching shares |
| |
15/12/2010 |
14/12/2010 |
BUY |
Towers, Martin |
NED |
45,000 |
54.62 p |
£24,579 |
70.20 p |
31,590.00 |
28.52 |
7,011 |
|
|
|
13/12/2010 |
13/12/2010 |
BUY |
Simpson, Paul |
FD |
241 |
52.00 p |
£125 |
70.20 p |
169.18 |
35.00 |
44 |
| Also allocated 195 matching shares. |
|
|
13/12/2010 |
13/12/2010 |
BUY |
Walsh, Kevin |
ED |
240 |
52.00 p |
£125 |
70.20 p |
168.48 |
35.00 |
44 |
| Also allocated 191 matching shares. |
|
|
13/12/2010 |
13/12/2010 |
BUY |
Renucci, Paul |
RES |
240 |
52.00 p |
£125 |
70.20 p |
168.48 |
35.00 |
44 |
| Also allocated 191 matching shares. |
| |
15/11/2010 |
15/11/2010 |
BUY |
Simpson, Paul |
FD |
247 |
50.55 p |
£125 |
70.20 p |
173.39 |
38.87 |
49 |
|
| |
15/11/2010 |
15/11/2010 |
BUY |
Walsh, Kevin |
ED |
248 |
50.55 p |
£125 |
70.20 p |
174.10 |
38.87 |
49 |
|
| |
15/11/2010 |
15/11/2010 |
BUY |
Renucci, Paul |
RES |
248 |
50.55 p |
£125 |
70.20 p |
174.10 |
38.87 |
49 |
|
|
|
14/10/2010 |
13/10/2010 |
BUY |
Simpson, Paul |
FD |
236 |
53.00 p |
£125 |
70.20 p |
165.67 |
32.45 |
41 |
| Co's SIP. Also awarded 191 matching shares. |
|
|
14/10/2010 |
13/10/2010 |
BUY |
Walsh, Kevin |
ED |
235 |
53.00 p |
£125 |
70.20 p |
164.97 |
32.45 |
40 |
| Co's SIP. Also awarded 187 matching shares. |
|
|
14/10/2010 |
13/10/2010 |
BUY |
Renucci, Paul |
RES |
235 |
53.00 p |
£125 |
70.20 p |
164.97 |
32.45 |
40 |
| Co's SIP. Also awarded 187 matching shares. |
|
|
14/09/2010 |
13/09/2010 |
BUY |
Simpson, Paul |
FD |
267 |
46.75 p |
£125 |
70.20 p |
187.43 |
50.16 |
63 |
| Co's SIP. Also allocated 212 matching shares. |
|
|
14/09/2010 |
13/09/2010 |
BUY |
Walsh, Kevin |
ED |
268 |
46.75 p |
£125 |
70.20 p |
188.14 |
50.16 |
63 |
| Co's SIP. Also allocated 213 matching shares. |
|
|
14/09/2010 |
13/09/2010 |
BUY |
Renucci, Paul |
RES |
268 |
46.75 p |
£125 |
70.20 p |
188.14 |
50.16 |
63 |
| Co's SIP. Also allocated 213 matching shares. |
| |
16/08/2010 |
13/08/2010 |
BUY |
Simpson, Paul |
FD |
260 |
48.00 p |
£125 |
70.20 p |
182.52 |
46.25 |
58 |
|
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
| |
16/08/2010 |
13/08/2010 |
BUY |
Walsh, Kevin |
ED |
260 |
48.00 p |
£125 |
70.20 p |
182.52 |
46.25 |
58 |
|
| |
16/08/2010 |
13/08/2010 |
BUY |
Renucci, Paul |
RES |
260 |
48.00 p |
£125 |
70.20 p |
182.52 |
46.25 |
58 |
|
|
|
30/07/2010 |
30/07/2010 |
BUY |
Simpson, Paul |
FD |
751 |
48.25 p |
£362 |
70.20 p |
527.20 |
45.49 |
165 |
| Co's SIP |
|
|
30/07/2010 |
30/07/2010 |
BUY |
Walsh, Kevin |
ED |
450 |
48.25 p |
£217 |
70.20 p |
315.90 |
45.49 |
99 |
| Co's SIP |
|
|
30/07/2010 |
30/07/2010 |
BUY |
Renucci, Paul |
RES |
660 |
48.25 p |
£318 |
70.20 p |
463.32 |
45.49 |
145 |
| Co's SIP |
|
|
14/07/2010 |
13/07/2010 |
BUY |
Simpson, Paul |
FD |
261 |
48.00 p |
£125 |
70.20 p |
183.22 |
46.25 |
58 |
| SIP: Total includes 207 matching shares |
|
|
14/07/2010 |
13/07/2010 |
BUY |
Walsh, Kevin |
ED |
261 |
48.00 p |
£125 |
70.20 p |
183.22 |
46.25 |
58 |
| SIP: Includes 261 matching shares |
|
|
14/07/2010 |
13/07/2010 |
BUY |
Renucci, Paul |
RES |
261 |
48.00 p |
£125 |
70.20 p |
183.22 |
46.25 |
58 |
| SIP: Total includes 207 matching shares |
|
|
15/06/2010 |
14/06/2010 |
BUY |
Simpson, Paul |
FD |
240 |
52.00 p |
£125 |
70.20 p |
168.48 |
35.00 |
44 |
| Co's SIP. Also allocated 191 matching shares. |
|
|
15/06/2010 |
14/06/2010 |
BUY |
Walsh, Kevin |
ED |
240 |
52.00 p |
£125 |
70.20 p |
168.48 |
35.00 |
44 |
| Co's SIP. Also allocated 195 matching shares. |
|
|
15/06/2010 |
14/06/2010 |
BUY |
Renucci, Paul |
RES |
240 |
52.00 p |
£125 |
70.20 p |
168.48 |
35.00 |
44 |
| Co's SIP. Also allocated 191 matching shares. |
|
|
14/05/2010 |
13/05/2010 |
BUY |
Simpson, Paul |
FD |
264 |
47.45 p |
£125 |
70.20 p |
185.33 |
47.95 |
60 |
| Co's SIP. Also allocated 212 matching shares. |
|
|
14/05/2010 |
13/05/2010 |
BUY |
Walsh, Kevin |
ED |
263 |
47.45 p |
£125 |
70.20 p |
184.63 |
47.95 |
60 |
| Co's SIP. Also allocated 209 matching shares. |
|
|
14/05/2010 |
13/05/2010 |
BUY |
Renucci, Paul |
RES |
264 |
47.45 p |
£125 |
70.20 p |
185.33 |
47.95 |
60 |
| Co's SIP. Also allocated 212 matching shares. |
|
|
14/04/2010 |
13/04/2010 |
BUY |
Simpson, Paul |
FD |
261 |
47.75 p |
£125 |
70.20 p |
183.22 |
47.02 |
59 |
| Co's SIP
Total given is that held under this scheme |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
14/04/2010 |
13/04/2010 |
BUY |
Renucci, Paul |
RES |
261 |
47.75 p |
£125 |
70.20 p |
183.22 |
47.02 |
59 |
| Co's SIP
Total given is that held under this scheme |
| |
16/03/2010 |
15/03/2010 |
BUY |
Simpson, Paul |
FD |
250 |
50.00 p |
£125 |
70.20 p |
175.50 |
40.40 |
51 |
|
| |
16/03/2010 |
15/03/2010 |
BUY |
Renucci, Paul |
RES |
250 |
50.00 p |
£125 |
70.20 p |
175.50 |
40.40 |
51 |
|
|
|
16/02/2010 |
16/02/2010 |
BUY |
Simpson, Paul |
FD |
234 |
53.50 p |
£125 |
70.20 p |
164.27 |
31.21 |
39 |
| SIP Purchase |
|
|
16/02/2010 |
15/02/2010 |
BUY |
Renucci, Paul |
RES |
234 |
53.50 p |
£125 |
70.20 p |
164.27 |
31.21 |
39 |
| SIP purchase |
|
|
10/02/2010 |
09/02/2010 |
BUY |
Simpson, Paul |
FD |
248 |
52.50 p |
£130 |
70.20 p |
174.10 |
33.71 |
44 |
| Purchased through Co's SIP |
|
|
10/02/2010 |
09/02/2010 |
BUY |
Walsh, Kevin |
ED |
155 |
52.50 p |
£81 |
70.20 p |
108.81 |
33.71 |
27 |
| Purchased through Co's SIP |
|
|
10/02/2010 |
09/02/2010 |
BUY |
Renucci, Paul |
RES |
215 |
52.50 p |
£113 |
70.20 p |
150.93 |
33.71 |
38 |
| Purchased through Co's SIP |
|
|
14/01/2010 |
13/01/2010 |
BUY |
Simpson, Paul |
FD |
279 |
44.75 p |
£125 |
70.20 p |
195.86 |
56.87 |
71 |
| Through Co's SIP |
|
|
14/01/2010 |
13/01/2010 |
BUY |
Renucci, Paul |
RES |
279 |
44.75 p |
£125 |
70.20 p |
195.86 |
56.87 |
71 |
| Through Co's SIP |
|
|
15/12/2009 |
14/12/2009 |
BUY |
Simpson, Paul |
FD |
280 |
44.75 p |
£125 |
70.20 p |
196.56 |
56.87 |
71 |
| Purchased through Co's SIP |
|
|
15/12/2009 |
14/12/2009 |
BUY |
Renucci, Paul |
RES |
279 |
44.75 p |
£125 |
70.20 p |
195.86 |
56.87 |
71 |
| Purchased through Co's SIP |
|
|
13/11/2009 |
13/11/2009 |
BUY |
Simpson, Paul |
FD |
310 |
40.25 p |
£125 |
70.20 p |
217.62 |
74.41 |
93 |
| Purchased through co's SIP |
|
|
13/11/2009 |
13/11/2009 |
BUY |
Renucci, Paul |
RES |
311 |
40.25 p |
£125 |
70.20 p |
218.32 |
74.41 |
93 |
| Purchased through co's SIP |
|
|
13/10/2009 |
13/10/2009 |
BUY |
Simpson, Paul |
FD |
278 |
45.00 p |
£125 |
70.20 p |
195.16 |
56.00 |
70 |
| Purchased through co's SIP |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
13/10/2009 |
13/10/2009 |
BUY |
Renucci, Paul |
RES |
278 |
45.00 p |
£125 |
70.20 p |
195.16 |
56.00 |
70 |
| Purchased through co's SIP |
|
|
15/09/2009 |
14/09/2009 |
BUY |
Simpson, Paul |
FD |
434 |
28.75 p |
£125 |
70.20 p |
304.67 |
144.17 |
180 |
| Purchased through Co's SIP |
|
|
15/09/2009 |
14/09/2009 |
BUY |
Renucci, Paul |
RES |
434 |
28.75 p |
£125 |
70.20 p |
304.67 |
144.17 |
180 |
| Purchased through Co's SIP |
|
|
04/09/2009 |
03/09/2009 |
BUY |
Gower, Neil |
ED |
2,855 |
27.75 p |
£792 |
70.20 p |
2,004.21 |
152.97 |
1,212 |
| Purchased through Co's LTCIP |
|
|
19/08/2009 |
18/08/2009 |
BUY |
Simpson, Paul |
FD |
10,850 |
28.00 p |
£3,038 |
70.20 p |
7,616.70 |
150.71 |
4,579 |
| Purchased through the Co's LTCIP |
|
|
19/08/2009 |
18/08/2009 |
BUY |
Gower, Neil |
ED |
15,450 |
28.00 p |
£4,326 |
70.20 p |
10,845.90 |
150.71 |
6,520 |
| Purchased through the Co's LTCIP |
|
|
19/08/2009 |
18/08/2009 |
BUY |
Walsh, Kevin |
ED |
13,423 |
28.00 p |
£3,758 |
70.20 p |
9,422.95 |
150.71 |
5,665 |
| Purchased through the Co's LTCIP |
|
|
19/08/2009 |
18/08/2009 |
BUY |
Renucci, Paul |
RES |
12,427 |
28.00 p |
£3,480 |
70.20 p |
8,723.75 |
150.71 |
5,244 |
| Purchased through the Co's LTCIP |
|
|
14/08/2009 |
13/08/2009 |
BUY |
Simpson, Paul |
FD |
437 |
28.60 p |
£125 |
70.20 p |
306.77 |
145.45 |
182 |
| Purchased under the Co's SIP |
|
|
14/08/2009 |
13/08/2009 |
BUY |
Gower, Neil |
ED |
437 |
28.60 p |
£125 |
70.20 p |
306.77 |
145.45 |
182 |
| Purchased under the Co's SIP |
|
|
14/08/2009 |
13/08/2009 |
BUY |
Walsh, Kevin |
ED |
5,245 |
28.60 p |
£1,500 |
70.20 p |
3,681.99 |
145.45 |
2,182 |
| Purchased under the Co's SIP |
|
|
14/08/2009 |
13/08/2009 |
BUY |
Renucci, Paul |
RES |
437 |
28.60 p |
£125 |
70.20 p |
306.77 |
145.45 |
182 |
| Purchased under the Co's SIP |
|
|
12/08/2009 |
12/08/2009 |
BUY |
Simpson, Paul |
FD |
741 |
28.75 p |
£213 |
70.20 p |
520.18 |
144.17 |
307 |
| Purchased through Co's SIP |
|
|
12/08/2009 |
12/08/2009 |
BUY |
Gower, Neil |
ED |
625 |
28.75 p |
£180 |
70.20 p |
438.75 |
144.17 |
259 |
| Purchased through Co's SIP |
|
|
12/08/2009 |
12/08/2009 |
BUY |
Walsh, Kevin |
ED |
306 |
28.75 p |
£88 |
70.20 p |
214.81 |
144.17 |
127 |
| Purchased through Co's SIP |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
12/08/2009 |
12/08/2009 |
BUY |
Renucci, Paul |
RES |
625 |
28.75 p |
£180 |
70.20 p |
438.75 |
144.17 |
259 |
| Purchased through Co's SIP |
|
|
31/07/2009 |
31/07/2009 |
BUY |
Simpson, Paul |
FD |
93,470 |
ND |
£0 |
70.20 p |
65,615.94 |
|
|
| Purchased on his behalf for the LTCIP |
|
|
31/07/2009 |
31/07/2009 |
BUY |
Walsh, Kevin |
ED |
263,841 |
ND |
£0 |
70.20 p |
185,216.38 |
|
|
| Purchased on his behalf for the LTCIP |
|
|
14/07/2009 |
13/07/2009 |
BUY |
Simpson, Paul |
FD |
447 |
28.00 p |
£125 |
70.20 p |
313.79 |
150.71 |
189 |
| Purchased through Co's SIP |
|
|
14/07/2009 |
13/07/2009 |
BUY |
Gower, Neil |
ED |
447 |
28.00 p |
£125 |
70.20 p |
313.79 |
150.71 |
189 |
| Purchased through Co's SIP |
|
|
14/07/2009 |
13/07/2009 |
BUY |
Renucci, Paul |
RES |
447 |
28.00 p |
£125 |
70.20 p |
313.79 |
150.71 |
189 |
| Purchased through Co's SIP |
|
|
06/07/2009 |
03/07/2009 |
BUY |
Simpson, Paul |
FD |
4,146 |
27.00 p |
£1,119 |
70.20 p |
2,910.49 |
160.00 |
1,791 |
| Purchased under the Co's LTCIP |
|
|
06/07/2009 |
03/07/2009 |
BUY |
Gower, Neil |
ED |
2,934 |
27.00 p |
£792 |
70.20 p |
2,059.67 |
160.00 |
1,267 |
| Purchased under the Co's LTCIP |
|
|
06/07/2009 |
03/07/2009 |
BUY |
Renucci, Paul |
RES |
6,043 |
27.00 p |
£1,632 |
70.20 p |
4,242.19 |
160.00 |
2,611 |
| Purchased under the Co's LTCIP |
|
|
02/07/2009 |
01/07/2009 |
BUY |
Simpson, Paul |
FD |
51,851 |
27.00 p |
£14,000 |
70.20 p |
36,399.40 |
160.00 |
22,400 |
| None |
|
|
02/07/2009 |
01/07/2009 |
BUY |
Walsh, Kevin |
ED |
222,222 |
27.00 p |
£60,000 |
70.20 p |
155,999.84 |
160.00 |
96,000 |
| None |
|
|
02/07/2009 |
01/07/2009 |
BUY |
Holden, Graham |
NED |
40,000 |
27.00 p |
£10,800 |
70.20 p |
28,080.00 |
160.00 |
17,280 |
| None |
|
|
16/06/2009 |
15/06/2009 |
BUY |
Simpson, Paul |
FD |
431 |
29.00 p |
£125 |
70.20 p |
302.56 |
142.07 |
178 |
| Purchased through Co's SIP |
|
|
16/06/2009 |
15/06/2009 |
BUY |
Gower, Neil |
ED |
431 |
29.00 p |
£125 |
70.20 p |
302.56 |
142.07 |
178 |
| Purchased through Co's SIP |
|
|
16/06/2009 |
15/06/2009 |
BUY |
Renucci, Paul |
RES |
431 |
29.00 p |
£125 |
70.20 p |
302.56 |
142.07 |
178 |
| Purchased through Co's SIP |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
04/06/2009 |
03/06/2009 |
BUY |
Simpson, Paul |
FD |
3,928 |
28.50 p |
£1,119 |
70.20 p |
2,757.46 |
146.32 |
1,638 |
| Purchased through Co's LTCIP |
|
|
04/06/2009 |
03/06/2009 |
BUY |
Gower, Neil |
ED |
2,780 |
28.50 p |
£792 |
70.20 p |
1,951.56 |
146.32 |
1,159 |
| Purchased through Co's LTCIP |
|
|
04/06/2009 |
03/06/2009 |
BUY |
Renucci, Paul |
RES |
5,725 |
28.50 p |
£1,632 |
70.20 p |
4,018.95 |
146.32 |
2,387 |
| Purchased through Co's LTCIP |
|
|
14/05/2009 |
13/05/2009 |
BUY |
Simpson, Paul |
FD |
467 |
26.75 p |
£125 |
70.20 p |
327.83 |
162.43 |
203 |
| Purchased through the Co's SIP |
|
|
14/05/2009 |
13/05/2009 |
BUY |
Gower, Neil |
ED |
467 |
26.75 p |
£125 |
70.20 p |
327.83 |
162.43 |
203 |
| Purchased through the Co's SIP |
|
|
14/05/2009 |
13/05/2009 |
BUY |
Renucci, Paul |
RES |
467 |
26.75 p |
£125 |
70.20 p |
327.83 |
162.43 |
203 |
| Purchased through the Co's SIP |
|
|
07/05/2009 |
06/05/2009 |
BUY |
Simpson, Paul |
FD |
4,045 |
27.68 p |
£1,119 |
70.20 p |
2,839.59 |
153.61 |
1,720 |
| Purchased through Co's LTCIP |
|
|
07/05/2009 |
06/05/2009 |
BUY |
Gower, Neil |
ED |
2,863 |
27.68 p |
£792 |
70.20 p |
2,009.83 |
153.61 |
1,217 |
| Purchased through Co's LTCIP |
|
|
07/05/2009 |
06/05/2009 |
BUY |
Renucci, Paul |
RES |
5,896 |
27.68 p |
£1,632 |
70.20 p |
4,138.99 |
153.61 |
2,507 |
| Purchased through Co's LTCIP |
|
|
15/04/2009 |
14/04/2009 |
BUY |
Simpson, Paul |
FD |
568 |
22.00 p |
£125 |
70.20 p |
398.74 |
219.09 |
274 |
| Purchased through Co's SIP |
|
|
15/04/2009 |
14/04/2009 |
BUY |
Gower, Neil |
ED |
568 |
22.00 p |
£125 |
70.20 p |
398.74 |
219.09 |
274 |
| Purchased through Co's SIP |
|
|
15/04/2009 |
14/04/2009 |
BUY |
Renucci, Paul |
RES |
568 |
22.00 p |
£125 |
70.20 p |
398.74 |
219.09 |
274 |
| Purchased through Co's SIP |
|
|
06/04/2009 |
03/04/2009 |
BUY |
Simpson, Paul |
FD |
5,668 |
19.75 p |
£1,119 |
70.20 p |
3,978.94 |
255.44 |
2,860 |
| None |
|
|
06/04/2009 |
03/04/2009 |
BUY |
Gower, Neil |
ED |
4,012 |
19.75 p |
£792 |
70.20 p |
2,816.42 |
255.44 |
2,024 |
| None |
|
|
06/04/2009 |
03/04/2009 |
BUY |
Renucci, Paul |
RES |
8,262 |
19.75 p |
£1,632 |
70.20 p |
5,799.92 |
255.44 |
4,168 |
| None |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
05/03/2009 |
04/03/2009 |
BUY |
Simpson, Paul |
FD |
6,588 |
17.00 p |
£1,120 |
70.20 p |
4,624.78 |
312.94 |
3,505 |
| Purchased through the Co's LTCIP |
|
|
05/03/2009 |
04/03/2009 |
BUY |
Gower, Neil |
ED |
4,661 |
17.00 p |
£792 |
70.20 p |
3,272.02 |
312.94 |
2,480 |
| Purchased through the Co's LTCIP |
|
|
05/03/2009 |
04/03/2009 |
BUY |
Renucci, Paul |
RES |
9,601 |
17.00 p |
£1,632 |
70.20 p |
6,739.90 |
312.94 |
5,108 |
| Purchased through the Co's LTCIP |
|
|
13/02/2009 |
13/02/2009 |
BUY |
Simpson, Paul |
FD |
625 |
20.00 p |
£125 |
70.20 p |
438.75 |
251.00 |
314 |
| Purchased through Co's SIP |
|
|
13/02/2009 |
13/02/2009 |
BUY |
Gower, Neil |
ED |
625 |
20.00 p |
£125 |
70.20 p |
438.75 |
251.00 |
314 |
| Purchase through Cos' SIP |
|
|
13/02/2009 |
13/02/2009 |
BUY |
Renucci, Paul |
RES |
625 |
20.00 p |
£125 |
70.20 p |
438.75 |
251.00 |
314 |
| Purchased through Co's SIP |
|
|
09/02/2009 |
09/02/2009 |
BUY |
Simpson, Paul |
FD |
391 |
18.25 p |
£71 |
70.20 p |
274.48 |
284.66 |
203 |
| Monthly SIP purchase |
|
|
09/02/2009 |
09/02/2009 |
BUY |
Gower, Neil |
ED |
302 |
18.25 p |
£55 |
70.20 p |
212.00 |
284.66 |
157 |
| Monthly SIP purchase |
|
|
09/02/2009 |
09/02/2009 |
BUY |
Walsh, Kevin |
ED |
235 |
18.25 p |
£43 |
70.20 p |
164.97 |
284.66 |
122 |
| Monthly SIP purchase |
|
|
09/02/2009 |
09/02/2009 |
BUY |
Renucci, Paul |
RES |
302 |
18.25 p |
£55 |
70.20 p |
212.00 |
284.66 |
157 |
| Monthly SIP purchase |
|
|
05/02/2009 |
04/02/2009 |
BUY |
Simpson, Paul |
FD |
5,596 |
20.00 p |
£1,119 |
70.20 p |
3,928.39 |
251.00 |
2,809 |
| Monthly purchase under Co's LTCIP |
|
|
05/02/2009 |
04/02/2009 |
BUY |
Gower, Neil |
ED |
3,961 |
20.00 p |
£792 |
70.20 p |
2,780.62 |
251.00 |
1,988 |
| Monthly purchase under Co's LTCIP |
|
|
05/02/2009 |
04/02/2009 |
BUY |
Renucci, Paul |
RES |
8,157 |
20.00 p |
£1,631 |
70.20 p |
5,726.21 |
251.00 |
4,095 |
| Monthly purchase under Co's LTCIP |
|
|
14/01/2009 |
13/01/2009 |
BUY |
Simpson, Paul |
FD |
926 |
13.50 p |
£125 |
70.20 p |
650.05 |
420.00 |
525 |
| Purchased under the Co's SIP |
|
|
14/01/2009 |
13/01/2009 |
BUY |
Gower, Neil |
ED |
926 |
13.50 p |
£125 |
70.20 p |
650.05 |
420.00 |
525 |
| Purchased under the Co's SIP |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
14/01/2009 |
13/01/2009 |
BUY |
Renucci, Paul |
RES |
926 |
13.50 p |
£125 |
70.20 p |
650.05 |
420.00 |
525 |
| Purchased under the Co's SIP |
|
|
07/01/2009 |
06/01/2009 |
BUY |
Simpson, Paul |
FD |
8,298 |
13.50 p |
£1,120 |
70.20 p |
5,825.20 |
420.00 |
4,705 |
| Purchased through the Co's LTCIP. |
|
|
07/01/2009 |
06/01/2009 |
BUY |
Gower, Neil |
ED |
5,873 |
13.50 p |
£793 |
70.20 p |
4,122.85 |
420.00 |
3,330 |
| Purchased through the Co's LTCIP. |
|
|
07/01/2009 |
06/01/2009 |
BUY |
Renucci, Paul |
RES |
12,095 |
13.50 p |
£1,633 |
70.20 p |
8,490.69 |
420.00 |
6,858 |
| Purchased through the Co's LTCIP. |
|
|
16/12/2008 |
15/12/2008 |
BUY |
Simpson, Paul |
FD |
962 |
13.00 p |
£125 |
70.20 p |
675.32 |
440.00 |
550 |
| Purchased through the co's SIP |
|
|
16/12/2008 |
15/12/2008 |
BUY |
Gower, Neil |
ED |
962 |
13.00 p |
£125 |
70.20 p |
675.32 |
440.00 |
550 |
| Purchased through the co's SIP |
|
|
16/12/2008 |
15/12/2008 |
BUY |
Renucci, Paul |
RES |
962 |
13.00 p |
£125 |
70.20 p |
675.32 |
440.00 |
550 |
| Purchased through the co's SIP |
|
|
04/12/2008 |
03/12/2008 |
BUY |
Simpson, Paul |
FD |
8,978 |
12.49 p |
£1,121 |
70.20 p |
6,302.56 |
462.05 |
5,181 |
| Purchased under the co's Long Term co-Investment plan. |
|
|
04/12/2008 |
03/12/2008 |
BUY |
Gower, Neil |
ED |
6,354 |
12.49 p |
£794 |
70.20 p |
4,460.51 |
462.05 |
3,667 |
| Purchased under the co's Long Term co-Investment plan. |
|
|
04/12/2008 |
03/12/2008 |
BUY |
Renucci, Paul |
RES |
13,086 |
12.49 p |
£1,634 |
70.20 p |
9,186.37 |
462.05 |
7,552 |
| Purchased under the co's Long Term co-Investment plan. |
|
|
14/11/2008 |
13/11/2008 |
BUY |
Simpson, Paul |
FD |
877 |
14.25 p |
£125 |
70.20 p |
615.65 |
392.63 |
491 |
| Purchased through the Co's SIPNone |
|
|
14/11/2008 |
13/11/2008 |
BUY |
Gower, Neil |
ED |
877 |
14.25 p |
£125 |
70.20 p |
615.65 |
392.63 |
491 |
| Purchased through the Co's SIP |
|
|
14/11/2008 |
13/11/2008 |
BUY |
Renucci, Paul |
RES |
877 |
14.25 p |
£125 |
70.20 p |
615.65 |
392.63 |
491 |
| Purchased through the Co's SIP |
|
|
14/11/2008 |
13/11/2008 |
BUY |
Renucci, Paul |
RES |
877 |
14.25 p |
£125 |
70.20 p |
615.65 |
392.63 |
491 |
| Purchased through the Co's SIP |
|
|
06/11/2008 |
05/11/2008 |
BUY |
Simpson, Paul |
FD |
7,101 |
16.50 p |
£1,172 |
70.20 p |
4,984.90 |
325.45 |
3,813 |
| Purchased through participation in the Co'sLong Term Co-Investment Plan |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
06/11/2008 |
05/11/2008 |
BUY |
Gower, Neil |
ED |
5,113 |
16.50 p |
£844 |
70.20 p |
3,589.33 |
325.45 |
2,746 |
| Purchased through participation in the Co'sLong Term Co-Investment Plan |
|
|
06/11/2008 |
05/11/2008 |
BUY |
Renucci, Paul |
RES |
10,210 |
16.50 p |
£1,685 |
70.20 p |
7,167.42 |
325.45 |
5,483 |
| Purchased through participation in the Co'sLong Term Co-Investment Plan |
|
|
14/10/2008 |
14/10/2008 |
BUY |
Simpson, Paul |
FD |
595 |
21.00 p |
£125 |
70.20 p |
417.69 |
234.29 |
293 |
| Monthly purchase of partnership shares |
|
|
14/10/2008 |
14/10/2008 |
BUY |
Gower, Neil |
ED |
596 |
21.00 p |
£125 |
70.20 p |
418.39 |
234.29 |
293 |
| Monthly purchase of partnership shares |
|
|
14/10/2008 |
14/10/2008 |
BUY |
Walsh, Kevin |
ED |
1 |
21.00 p |
£0 |
70.20 p |
0.70 |
234.29 |
0 |
| Monthly purchase of partnership shares |
|
|
14/10/2008 |
14/10/2008 |
BUY |
Renucci, Paul |
RES |
595 |
21.00 p |
£125 |
70.20 p |
417.69 |
234.29 |
293 |
| Monthly purchase of partnership shares |
|
|
14/10/2008 |
14/10/2008 |
BUY |
Renucci, Paul |
RES |
596 |
21.00 p |
£125 |
70.20 p |
418.39 |
234.29 |
293 |
| Monthly purchase of partnership shares |
|
|
06/10/2008 |
30/10/2008 |
BUY |
Simpson, Paul |
FD |
5,266 |
22.75 p |
£1,198 |
70.20 p |
3,696.73 |
208.57 |
2,499 |
| Purchased in line with LTCIP |
|
|
06/10/2008 |
03/10/2008 |
BUY |
Gower, Neil |
ED |
4,160 |
22.75 p |
£946 |
70.20 p |
2,920.32 |
208.57 |
1,974 |
| Purchased in line with LTCIP |
|
|
06/10/2008 |
03/10/2008 |
BUY |
Renucci, Paul |
RES |
7,457 |
22.75 p |
£1,696 |
70.20 p |
5,234.81 |
208.57 |
3,538 |
| Purchased in line with LTCIP |
|
|
30/09/2008 |
30/09/2008 |
BUY |
Renucci, Paul |
RES |
100,000 |
21.39 p |
£21,387 |
70.20 p |
70,200.00 |
228.19 |
48,813 |
| None |
|
|
11/09/2008 |
10/09/2008 |
BUY |
Simpson, Paul |
FD |
33,097 |
39.98 p |
£13,232 |
70.20 p |
23,234.09 |
75.59 |
10,002 |
| purch in LTCIP |
|
|
11/09/2008 |
10/09/2008 |
BUY |
Gower, Neil |
ED |
124,452 |
39.98 p |
£49,756 |
70.20 p |
87,365.30 |
75.59 |
37,609 |
| purch in LTCIP |
|
|
11/09/2008 |
10/09/2008 |
BUY |
Walsh, Kevin |
ED |
147,808 |
39.98 p |
£59,094 |
70.20 p |
103,761.22 |
75.59 |
44,667 |
| purch in LTCIP |
|
|
11/09/2008 |
10/09/2008 |
BUY |
Renucci, Paul |
RES |
14,623 |
39.98 p |
£5,846 |
70.20 p |
10,265.35 |
75.59 |
4,419 |
| purch in LTCIP |
|
Dec. Date |
Deal. Date |
Type |
Director |
Pos |
No. of shares |
Price |
Value |
Current price |
Value now |
% gain |
Monetary gain |
|
|
07/05/2008 |
07/05/2008 |
BUY |
Simpson, Paul |
FD |
1,984 |
49.00 p |
£972 |
70.20 p |
1,392.77 |
43.27 |
421 |
| None |
|
|
07/05/2008 |
07/05/2008 |
BUY |
Gower, Neil |
ED |
1,668 |
49.00 p |
£817 |
70.20 p |
1,170.94 |
43.27 |
354 |
| None |
|
|
07/05/2008 |
07/05/2008 |
BUY |
Renucci, Paul |
RES |
2,072 |
49.00 p |
£1,015 |
70.20 p |
1,454.54 |
43.27 |
439 |
| None |