FirstGroup plc LEI: 549300DEJZCPWA4HKM93 12 June 2025 Director / PDMR Shareholding Share Incentive Plan ("SIP") Purchase FirstGroup plc (the "Company") was notified on 12 June 2025 by Computershare Trustees Limited, trustee of the FirstGroup SIP, of the purchase on behalf of Ryan Mangold, an Executive Director and Chief Financial Officer, of 72 ordinary shares of5 pence each in the Company. The Partnership Shares were purchased on 10 June 2025 at a price of £2.0826 per share. This notification is made in accordance with Article 19 of the Market Abuse Regulation 596/2014. Enquiries David Blizzard Company Secretary 020 7291 0505 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 |Ryan Mangold | +-------+----------------++--------+---------++ |2 |Reason for the | | |notification | +-------+----------------++--------+---------++ |a) |Position/status |Executive Director | | | |and Chief Financial | | | |Officer | +-------+----------------++--------+---------++ |b) |Initial |Initial | | |notification | | | |/Amendment | | +-------+----------------++--------+---------++ |3 |Details of the | | |issuer, emission | | |allowance market | | |participant, | | |auction | | |platform, | | |auctioneer or | | |auction monitor | +-------+----------------++--------+---------++ |a) |Name |FirstGroup plc | +-------+----------------++--------+---------++ |b) |LEI |549300DEJZCPWA4HKM93| +-------+----------------++--------+---------++ |4 |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 | +-------+----------------++--------+---------++ |a) |Description of |Ordinary shares of | | |the financial |5p each | | | | | | |instrument, type|GB0003452173 | | |of instrument | | | | | | | |Identification | | | |code | | +-------+----------------++--------+---------++ |b) |Nature of the |Purchase of | | |transaction |Partnership Shares | | | |under the FirstGroup| | | |SIP | +-------+----------------++--------+---------++ |c) |Price(s) and ||Price(s)|Volume(s)|| | |volume(s) || | || +-------+----------------++--------+---------++ |£2.0826|72 | +-------+----------------++--------+---------++ |d) |Aggregated | 72 | | |information | | | | | £149.95 | | |Partnership | | | |Shares | | | | | | | | Aggregated | | | |volume | | | | | | | | Price | | +-------+----------------++--------+---------++ |e) |Date of the |10 June 2025 | | |transaction | | +-------+----------------++--------+---------++ |f) |Place of the |London Stock | | |transaction |Exchange (XLON) | +-------+----------------++--------+---------++ |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 | +-------+----------------++--------+---------++
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