Corestate Capital Holding S.A.: Managerial Transaction

DGAP-News: Corestate Capital Holding S.A. / Schlagwort(e): Sonstiges
Corestate Capital Holding S.A.: Managerial Transaction

14.09.2020 / 15:22
Für den Inhalt der Mitteilung ist der Emittent / Herausgeber verantwortlich.

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         Notification and public
      disclosure of transactions by
     persons discharging managerial
      responsibilities and persons
      closely associated with them

    1.                                 Details of the
                                       person
                                       discharging
                                       managerial
                                       responsibili-
                                       ties/person
                                       closely
                                       associated
    a)                                 Name1            Nils
                                                        Hübener

    2.                                 Reason for the
                                       notification
    a)                                 Position/sta-    CIO
                                       tus2
    b)                                 Initial
                                       notification/A-
                                       mendment3

    3.                                 Details of the
                                       issuer,
                                       emission
                                       allowance
                                       market
                                       participant,
                                       auction
                                       platform,
                                       auctioneer or
                                       auction monitor
    a)                                 Name4            CORESTATE
                                                        CAPITAL
                                                        HOLDING
                                                        S.A.
    b)                                 LEI5             529900GNB8-
                                                        6RB7HRX793

    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   share
                                       the financial
                                       instrument,
                                       type of
                                       instrument6
                                       Identification   LU12967580-
                                       code7            29
    b)                                 Nature of the    buy
                                       transaction8
    c)                                 Price(s) and      Price(s)   Volume(s)
                                       volume(s)9
              18.44 Euro                  1500
   d)                                 Aggregated
                                      information
    - Aggregated volume10
    - Price11                          27660 Euro
    e)                                 Date of the      14.09.2020
                                       transaction12
    f)                                 Place of         Xetra
                                       transaction13

                                                           Date and
                                                           signatu-
                                                        re________-
                                                        __________-
                                                        __________-
                                                                ___

    1 For natural persons: the first
    name and the last name(s). For
    legal persons: full name
    including legal form as provided
    for in the register where it is
    incorporated, if applicable.
    2 For persons discharging
    managerial responsibilities: the
    position occupied within the
    issuer, emission allowances
    market participant/auction
    platform/auctioneer/auction
    monitor should be indicated, e.g.
    CEO, CFO. For persons closely
    accociated: - An indication that
    the notification concerns a
    person closely associated with a
    person discharging managerial
    responsibilities; - Name and
    position of the relevant person
    discharging managerial
    responsibilities.
    3 Indication that this is an
    initial notification or an
    amendment to prior notifications.
    In case of amendment, explain the
    error that this notification is
    amending.
    4 Full name of the entity
    5 Legal Entity Identifier code in
    accordance with ISO 17442 LEI
    code.
    6 Indication as to the nature of
    the instrument: - a share, a debt
    instrument, a derivative or a
    financial instrument linked to a
    share or a debt instrument; - an
    emission allowance, an auction
    product based on an emission
    allowance or a derivative
    relating to an emission
    allowance.
    7 Instrument identification code
    as defined under Commission
    Delegated Regulation
    supplementing Regulation (EU) No
    600/2014 of the European
    Parliament and of the Council
    with regard to regulatory
    technical standards for the
    reporting of transactions to
    competent authorities adopted
    under Article 26 of Regulation
    (EU) No 600/2014.
    8 Description of the transaction
    type using, where applicable, the
    type of transaction identified in
    Article 10 of the Commission
    Delegated Regulation (EU)
    2016/522 adopted under Article
    19(14) of Regulation (EU) No
    596/2014 or a specific example
    set out in Article 19(7) of
    Regulation (EU) No 596/2014.
    Pursuant to Article 19(6)(e) of
    Regulation (EU) No 596/2014, it
    shall be indicated whether the
    transaction is linked to the
    exercise of a share option
    programme.
    9 Where more than one transaction
    of the same nature (purchases,
    sales, lendings, borrows, .) on
    the same financial instrument or
    emission allowance are executed
    on the same day and on the same
    place of transaction, prices and
    volumes of these transactions
    shall be reported in this field,
    in a two columns form as
    presented above, inserting as
    many lines as needed. Using the
    data standards for price and
    quantity, including where
    applicable the price currency and
    the quantity currency, as defined
    under Commission Delegated
    Regulation supplementing
    Regulation (EU) No 600/2014 of
    the European Parliament and of
    the Council with regard to
    regulatory technical standards
    for the reporting of transactions
    to competent authorities adopted
    under Article 26 of Regulation
    (EU) No 600/2014.
    10 The volumes of multiple
    transactions are aggregated when
    these transactions: - relate to
    the same financial instrument or
    emission allowance; - are of the
    same nature; - are executed on
    the same day; and - are executed
    on the same place of transaction.
    Using the data standard for
    quantity, including where
    applicable the quantity currency,
    as defined under Commission
    Delegated Regulation
    supplementing Regulation (EU) No
    600/2014 of the European
    Parliament and of the Council
    with regard to regulatory
    technical standards for the
    reporting of transactions to
    competent authorities adopted
    under Article 26 of Regulation
    (EU) No 600/2014.
    11 Price information: - In case
    of a single transaction, the
    price of the single transaction;
    - In case the volumes of multiple
    transactions are aggregated: the
    weighted average price of the
    aggregated transactions. Using
    the data standard for price,
    including where applicable the
    price currency, as defined under
    Commission Delegated Regulation
    supplementing Regulation (EU) No
    600/2014 of the European
    Parliament and of the Council
    with regard to regulatory
    technical standards for the
    reporting of transactions to
    competent authorities adopted
    under Article 26 of Regulation
    (EU) No 600/2014.
    12 Date of the particular day of
    execution of the notified
    transaction. Using the ISO 8601
    date format: YYYY-MM-DD; UTC
    time.
    13 Name and code to identify the
    MiFID trading venue, the
    systematic internaliser or the
    organised trading platform
    outside of the Union where the
    transaction was executed as
    defined under Commission
    Delegated Regulation
    supplementing Regulation (EU) No
    600/2014 of the European
    Parliament and of the Council
    with regard to regulatory
    technical standards for the
    reporting of transactions to
    competent authorities adopted
    under Article 26 of Regulation
    (EU) No 600/2014, or if the
    transaction was not executed on
    any of the above mentioned
    venues, please mention 'outside a
    trading venue'.

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14.09.2020 Veröffentlichung einer Corporate News/Finanznachricht,
übermittelt durch DGAP - ein Service der EQS Group AG.
Für den Inhalt der Mitteilung ist der Emittent / Herausgeber verantwortlich.

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   Sprache:        Deutsch
   Unternehmen:    Corestate Capital Holding S.A.
                   4, Rue Jean Monnet
                   L-2180 Luxemburg
                   Luxemburg
   Telefon:        +49 69 3535630-107
   Fax:            +49 69 3535630-29
   E-Mail:         IR@corestate-capital.com
   Internet:       www.corestate-capital.com
   ISIN:           LU1296758029
   WKN:            A141J3
   Indizes:        SDAX
   Börsen:         Regulierter Markt in Frankfurt (Prime Standard);
                   Freiverkehr in Berlin, Düsseldorf, München, Stuttgart,
                   Tradegate Exchange
   EQS News ID:    1131263

   Ende der Mitteilung    DGAP News-Service
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1131263 14.09.2020
 ISIN  LU1296758029

AXC0258 2020-09-14/15:22

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