Managers' Transactions


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

26.10.2017 / 10:57
The issuer is solely responsible for the content of this announcement.


1. Details of the person discharging managerial responsibilities / person closely associated

a) Name
Title:
First name: Gordon
Last name(s): Riske

2. Reason for the notification

a) Position / status
Position: Member of the managing body

b) Initial notification

3. Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor

a) Name
KION GROUP AG

b) LEI
5299005KY91C4C6U9H17 

4. Details of the transaction(s)

a) Description of the financial instrument, type of instrument, identification code
Type: Share
ISIN: DE000KGX8881

b) Nature of the transaction
Acquisition

c) Price(s) and volume(s)
Price(s) Volume(s)
65.6600 EUR 10111.6400 EUR
65.6600 EUR 6303.3600 EUR
65.4300 EUR 484182.0000 EUR

d) Aggregated information
Price Aggregated volume
65.4375 EUR 500597.0000 EUR

e) Date of the transaction
2017-10-26; UTC+1

f) Place of the transaction
Name: XETRA
MIC: XETR



26.10.2017 The DGAP Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases.
Archive at www.dgap.de



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

09.03.2017 / 10:50
The issuer is solely responsible for the content of this announcement.


1. Details of the person discharging managerial responsibilities / person closely associated

a) Name
Title: Dr.
First name: Eike
Last name(s): Böhm

2. Reason for the notification

a) Position / status
Position: Member of the managing body

b) Initial notification

3. Details of the issuer, emission allowance market participant, auction platform, auctioneer or auction monitor

a) Name
KION GROUP AG

b) LEI
5299005KY91C4C6U9H17 

4. Details of the transaction(s)

a) Description of the financial instrument, type of instrument, identification code
Type: Share
ISIN: DE000KGX8881

b) Nature of the transaction
Acquisition

c) Price(s) and volume(s)
Price(s) Volume(s)
58.1164567 EUR 174349.3701 EUR

d) Aggregated information
Price Aggregated volume
58.1164567 EUR 174349.3701 EUR

e) Date of the transaction
2017-03-07; UTC+1

f) Place of the transaction
Name: Xetra
MIC: XETR



09.03.2017 The DGAP Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases.
Archive at www.dgap.de



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Date 2015-02-17
Last name Riske
First name Gordon
Details of Notifying Party Company: KION GROUP AG Position: Member of a managing body
LEI Sale: 2015-02- 17
Type of transaction Sale: 2015-02- 17
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 137900
Price 35.90
Currency EUR
Total amount traded 4950610.00
Place over the counter
Date 2014-11-10
Last name Knoef
First name Bert-Jan
Details of Notifying Party Company: STILL GmbH Position: Member of a managing body
LEI Sale: 2014-11- 10
Type of transaction Sale: 2014-11- 10
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 24350
Price 30.702
Currency EUR
Total amount traded 747593.70
Place Hamburg
Date 2014-08-13
Last name Maurer
First name Theodor
Details of Notifying Party Position: Member of a managing body
LEI Sale: 2014-08- 13
Type of transaction Sale: 2014-08- 13
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 25000
Price 29.20
Currency EUR
Total amount traded 730000.00
Place over the counter
Date 2014-03-24
Last name Brandt
First name Holger
Details of Notifying Party Position: Member of an administrative or supervisory body
LEI Sale: 2014-02- 24
Type of transaction Sale: 2014-02- 24
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 5175
Price 35.1681
Currency EUR
Total amount traded 181994.92
Place over the counter

Explanation

This Director Dealings' announcement refers to the announcement made as of February 26, 2014, in which only the preliminary selling price for the 5,175 shares could be stated. The announcement as of February 26, 2014 also stated that a second Director Dealings' announcement referring to these 5,175 shares would be published, once the final selling price would have been determined.
The final selling price was announced to Holger Brandt on March 19, 2014 and has been determined in the following process: the preliminary price of EUR36.725 per share determined on the day of the transfer of the shares to the broker was adjusted after the end of the selling period (which was stretched out over a certain time period in order not to unduly influence the market price of the shares). The adjustment was made via a negative adjustment amount of EUR1.5569 based on the average of the daily volume weighted average prices during the selling period. This led to the final selling price of EUR35.1681.

Date 2014-02-26
Last name Brandt
First name Holger
Details of Notifying Party Position: Member of an administrative or supervisory body
LEI Sale: 2014-02- 24
Type of transaction Sale: 2014-02- 24
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 5175
Price 36.725
Currency EUR
Total amount traded 190051.88
Place over the counter

Explanation

The final selling price will be determined as follows: a preliminary price of EUR36.725 per share was determined on the day of the transfer of the shares to the broker. This price will be adjusted after the end of the selling period (which will be stretched out over a certain time period in order not to unduly influence the market price of the shares). The adjustment will be made via a positive or negative adjustment amount to the preliminary price, based on the average of the daily volume weighted average prices during the selling period. Once the final selling price is determined at the end of the selling period, a second Director Dealings' announcement will be published, making reference to this first announcement and including the final selling price.

Date 2013-12-18
Last name Brandt
First name Holger
Details of Notifying Party Position: Member of an administrative or supervisory body
LEI Sale: 2013-11- 22
Type of transaction Sale: 2013-11- 22
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 7000
Price 29.5042
Currency EUR
Total amount traded 206529.40
Place over the counter

Explanation

This Director Dealings' announcement refers to the announcement made as of November 22, 2013, in which only the preliminary selling price for the 7,000 shares could be stated. The announcement as of November 22, 2013 also stated that a second Director Dealings' announcement referring to these 7,000 shares would be published, once the final selling price would have been determined.
The final selling price was announced to Holger Brandt on December 13, 2013 and has been determined in the following process: the preliminary price of EUR 28.945 per share determined on the day of the transfer of the shares to the broker was adjusted after the end of the selling period (which was stretched out over a certain time period in order not to unduly influence the market price of the shares). The adjustment was made via a positive adjustment amount of EUR0,5592 based on the average of the daily volume weighted average prices during the selling period. This led to the final selling price of EUR29,5042.

Date 2013-11-22
Last name Brandt
First name Holger
Details of Notifying Party Position: Member of an administrative or supervisory body
LEI Sale: 2013-11- 22
Type of transaction Sale: 2013-11- 22
Description of the financial instrument KION GROUP AG share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 7000
Price 28.945
Currency EUR
Total amount traded 202615
Place over the counter

Explanation

The final selling price will be determined as follows: a preliminary price of EUR28.945 per share was determined on the day of the transfer of the shares to the broker. This price will be adjusted after the end of the selling period (which will be stretched out over a certain time period in order not to unduly influence the market price of the shares). The adjustment will be made via a positive or negative adjustment amount to the preliminary price, based on the average of the daily volume weighted average prices during the selling period. Once the final selling price is determined at the end of the selling period, a second Director Dealings' announcement will be published, making reference to this first announcement and including the final selling price.

Date 2013-07-03
Last name Riske
First name Benita
Details of Notifying Party Relationship to a person performing managerial responsibilities: Spouse or registered partner
Details of the person performing managerial responsibilities Position: Member of a managing body
LEI Purchase: 2013-06- 28
Type of transaction Purchase: 2013-06- 28
Description of the financial instrument Share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 3000
Price 23.81984
Currency EUR
Total amount traded 71459.52
Place Frankfurt

Explanation

Purchase was executed by three different orders

Date 2013-07-02
Last name Huth
First name Johannes
Details of Notifying Party Position: Member of an administrative or supervisory body
LEI Purchase: 2013-07- 01
Type of transaction Purchase: 2013-07- 01
Description of the financial instrument Share
ISIN/WKN of the financial instrument DE000KGX8881
No. of items 50000
Price 23.690525
Currency EUR
Total amount traded 1184526.25
Place Frankfurt