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Notifier
Name
Nattviken Invest AB
Reason for notification
Closely associated
No
Person discharging managerial responsibilities
Nattviken Invest AB
Position
Styrelseledamot/suppleant
Initial notification
Yes
Amendment
No
Details of amendment
Issuer
Name of issuer
Peckas Naturodlingar
LEI code
549300ME32A67ZJVSZ13
Details of transaction
Type of financial instrument Financial instrument ISIN code Nature of transaction Linked to a share option programme Volume Unit Price per unit Currency code Transaction date Trading venue
Subscription right PEKA TRB SE0013232998 Disposal 142,235 Quantity 0.48721433 SEK 10/10/2019 NORDIC MTF
Aggregation
Financial instrument ISIN code Nature of transaction Transaction date Trading venue Volume Weighted average price
PEKA TRB SE0013232998 Disposal 10/10/2019 NORDIC MTF 142,235 (Quantity) 0.48721433 SEK
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