BAE Systems PLC (LSE:BA.) - Share price


Stock Report

BAE Systems PLC BA.

Directors' Share Dealings
 Transaction Holding 
Director/Date/TypeAmountPrice (GBX)Value (£) Amount% Additional Info
Mr. Bradley Greve
01/04/2020 | Purchase
32486.93156.00 17,099< 0.001 Placing
Mr. Bradley Greve
01/04/2020 | Purchase
11,420496.6256,714.00 28,534< 0.001 Bonus
Mr. Thomas Arseneault
01/04/2020 | Sale of Option
13,381433.0957,952.00 16,215< 0.001 
Mr. Thomas Arseneault
01/04/2020 | Sale of Option
33,153433.09143,582.00 56,3870.002 
Mr. Bradley Greve
01/04/2020 | Purchase
25582.55146.00 17,055< 0.001 Placing
Mr. Bradley Greve
01/04/2020 | Purchase
17,030582.8099,251.00 17,030< 0.001 Placing
Gerard J. DeMuro
25/03/2020 | Sale of Option
12,417491.0060,967.00 553,1630.017 
Gerard J. DeMuro
23/03/2020 | Sale of Option
31,823433.09137,822.00 459,1010.014 
Gerard J. DeMuro
23/03/2020 | Sale of Option
65,211433.09282,422.00 538,1190.017 
Gerard J. DeMuro
20/03/2020 | Purchase
66,333496.62329,423.00 420,5400.013 Bonus
Mr. Charles N Woodburn
20/03/2020 | Purchase
72,627496.62360,680.00 220,3200.007 Bonus
Mr. Peter John Lynas
20/03/2020 | Purchase
36,941496.62183,456.00 478,3070.015 Bonus
Mr. Charles N Woodburn
16/03/2020 | Purchase
30486.93146.00 147,6780.005 Partnership
Mr. Charles N Woodburn
14/02/2020 | Purchase
23657.75151.00 147,6370.005 Partnership
Mr. Charles N Woodburn
08/01/2020 | Purchase
26589.99153.00 147,6020.005 Partnership
Mr. Charles N Woodburn
16/12/2019 | Purchase
25582.55146.00 147,5640.005 Partnership
Mr. Charles N Woodburn
06/12/2019 | D
30554.95166.00 147,5390.005 Dividend Reinvestment Plan(DRIP)
Mr. Peter John Lynas
06/12/2019 | D
12554.9567.00 441,3660.014 Dividend Reinvestment Plan(DRIP)
Mr. Charles N Woodburn
14/11/2019 | Purchase
27572.20154.00 147,4960.005 Partnership
Mr. Charles N Woodburn
14/10/2019 | Purchase
27556.75150.00 147,4560.005 Partnership
Mr. Charles N Woodburn
16/09/2019 | Purchase
26576.26150.00 147,4160.005 Partnership
Mr. Charles N Woodburn
14/08/2019 | Purchase
27552.30149.00 147,3770.005 Partnership
AJ Bell Management Limited (company number 03948391), AJ Bell Securities Limited (company number 02723420) and AJ Bell Asset Management Limited (company number 09742568) are authorised and regulated by the Financial Conduct Authority. All companies are registered in England and Wales at 4 Exchange Quay, Salford Quays, Manchester M5 3EE. See website for full details. AJ Bell procures the provision of the Morningstar Licensed Tools on an “as is” basis and does not guarantee the performance of or accept liability for the Licensed Tools. To the maximum extent permitted by law, AJ Bell excludes liability for the Licensed Tools, including liability for any failure, interruption, delay or defect in the performance of any Licensed Tool, unless it arises as a direct result of the negligence of AJ Bell.
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