Director/PDMR Shareholding

Summary by AI BETAClose X

Picton Property Income Limited announced that Mark Batten, a Non-Executive Director, has notified the company of several share transactions conducted by his discretionary investment manager between March 2024 and May 2026. These transactions involved both purchases and disposals of ordinary shares, with purchase prices ranging from £0.62 to £0.82 and disposal prices from £0.62 to £0.87. Notably, on 13 March 2024, 38,000 shares were purchased for £24,810.20, and on 27 May 2026, 9 shares were disposed of for £6.64.

Disclaimer*

Picton Property Income Limited
24 August 2026
 

 

24 August 2026

PICTON PROPERTY INCOME LIMITED
('Picton' or the 'Company')

NOTIFICATION OF TRANSACTIONS BY A PERSON DISCHARGING MANAGERIAL RESPONSIBILITIES ('PDMR')

Mark Batten notified Picton that he had recently become aware of certain dealings in ordinary shares in Picton held by him, which took place in 2024, 2025 and 2026, as set out below. These dealings were effected by his discretionary investment manager pursuant to a standing investment mandate.

The following disclosures are made in accordance with the UK Market Abuse Regulation.

1.  

Details of PDMR

a)  

Name

Mark Batten

2.  

Reason for notification

a)  

Position / Status

Non-Executive Director

b)  

Initial notification / amendment

Initial Notification

3.  

Details of the issuer

a)  

Name

Picton Property Income Limited

b)  

LEI

213800RYE59K9CKR4497

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)  

Transaction 1

i)         

Date of transaction

13 March 2024

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.65

38000.00

24810.20

Aggregated

0.653

38000.00

24810.20

b)  

Transaction 2

i)         

Date of transaction

10 September 2024

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.74

24088.00

17945.56

Aggregated

0.745

24088.00

17945.56

c)  

Transaction 3

i)         

Date of transaction

20 December 2024

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.64

20121.00

12857.32

Aggregated

0.639

20121.00

12857.32

d)  

Transaction 4

i)         

Date of transaction

6 January 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.62

38000.00

23696.80

Aggregated

0.624

38000.00

23696.80

e)  

Transaction 5

i)         

Date of transaction

6 January 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.63

44209.00

27635.05

Aggregated

0.625

44209.00

27635.05

f)   

Transaction 6

i)         

Date of transaction

28 January 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.63

27489.00

17197.12

Aggregated

0.626

27489.00

17197.12

g)  

Transaction 7

i)         

Date of transaction

13 February 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.66

6223.00

4084.15

Aggregated

0.656

6223.00

4084.15

h)  

Transaction 8

i)         

Date of transaction

25 February 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.66

3337.00

2214.43

Aggregated

0.664

3337.00

2214.43

i)   

Transaction 9

i)         

Date of transaction

3 March 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.65

11.00

7.18

Aggregated

0.653

11.00

7.18

j)   

Transaction 10

i)         

Date of transaction

21 May 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.73

4038.00

2938.05

Aggregated

0.728

4038.00

2938.05

k)  

Transaction 11

i)         

Date of transaction

22 May 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.73

705.00

512.18

Aggregated

0.726

705.00

512.18

l)   

Transaction 12

i)         

Date of transaction

22 May 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.73

300.00

217.95

Aggregated

0.726

300.00

217.95

m) 

Transaction 13

i)         

Date of transaction

27 May 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.74

10.00

7.43

Aggregated

0.743

10.00

7.43

n)  

Transaction 14

i)         

Date of transaction

30 May 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.77

1092.00

845.64

Aggregated

0.774

1092.00

845.64

o)  

Transaction 15

i)         

Date of transaction

16 June 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.82

114.00

93.00

Aggregated

0.816

114.00

93.00

p)  

Transaction 16

i)         

Date of transaction

16 June 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.82

208.00

169.69

Aggregated

0.816

208.00

169.69

q)  

Transaction 17

i)         

Date of transaction

16 June 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.81

16.00

13.03

Aggregated

0.814

16.00

13.03

r)   

Transaction 18

i)         

Date of transaction

27 August 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.75

10.00

7.53

Aggregated

0.753

10.00

7.53

s)  

Transaction 19

i)         

Date of transaction

27 November 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.76

10.00

7.55

Aggregated

0.755

10.00

7.55

t)   

Transaction 20

i)         

Date of transaction

3 December 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.76

244.00

184.29

Aggregated

0.755

244.00

184.29

u)  

Transaction 21

i)         

Date of transaction

3 December 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.75

13.00

9.79

Aggregated

0.753

13.00

9.79

v)  

Transaction 22

i)         

Date of transaction

3 December 2025

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Purchase

vii)       

Details


Price

Volume

Total


0.75

57.00

43.02

Aggregated

0.755

57.00

43.02

w)  

Transaction 23

i)         

Date of transaction

27 February 2026

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.87

9.00

7.85

Aggregated

0.872

9.00

7.85

x)  

Transaction 24

i)         

Date of transaction

27 May 2026

ii)         

Description of instrument

Share

iii)        

Identification code

GB00B0LCW208

iv)        

Place of the transaction

London Stock Exchange

v)        

Currency

GBP

vi)        

Nature of transaction

Share Disposal

vii)       

Details


Price

Volume

Total


0.74

9.00

6.64

Aggregated

0.738

9.00

6.64

For further information:
Picton

Kathy Thompson, Company Secretary

020 7011 9988, kathy.thompson@picton.co.uk

For more information please visit: www.picton.co.uk

LEI: 213800RYE59K9CKR4497

 

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