Date of publication
06/04/2021
Notifying person
van Zyl Charl
Declarer Type
Senior executive
Issuer
UCB
Instrument Type
Share
Instrument ISIN Code
BE0003739530
Transaction Type
Purchase / Acquisition
Transaction Type Specifications
Transaction linked to remuneration package: acceptance and exercise of options/warrants, as well as the sale of shares stemming from the exercise
Transaction Place
Off exchange
Transaction Date
Transaction Currency
EUR
Transaction Quantity
3.967
Transaction Price
0,00
Transaction Amount
0,00
Body
Delivery of 3 967 shares upon total vesting of 7 622 shares under Performance Share Plan (2018) in the framework of the LTI program of the UCB Group.