Notification of Transactions of Directors/Persons Discharging Managerial
Responsibility and Connected Persons
+---------------------------------------+--------------------------------------+
|1. Â Name of the issuer: |2. Â State whether the notification|
|Â |relates to (i) a transaction notified|
|Jupiter European Opportunities Trust |in accordance with DTR 3.1.2 R, (ii) a|
|PLC |disclosure made in accordance with LR|
| |9.8.6R(1) or (iii) a disclosure made|
| |in accordance with section 793 of the|
| |Companies Act (2006). |
| |Â |
| |(i) &Â (ii) |
| |Â |
+---------------------------------------+--------------------------------------+
|3. Â Name of person discharging|4. State whether notification relates|
|managerial responsibilities/director |to a person connected with a person|
|Â |discharging managerial|
|John Wallinger |responsibilities/director named in 3 |
| |and identify the connected person |
| |Â |
| |N/A |
| |Â |
+---------------------------------------+--------------------------------------+
|5. Â Indicate whether the notification|6. Â Description of shares (including|
|is in respect of a holding of the|class), debentures or derivatives or|
|person referred to in 3 or 4 above or|financial instruments relating to|
|in respect of a non-beneficial|shares |
|interest1 |Â |
|Â |Ordinary Shares of 1p each |
|As above |Â |
+---------------------------------------+--------------------------------------+
|7. Â Name of registered shareholders(s)|8 Â State the nature of the|
|and, if more than one, the number of|transaction |
|shares held by each of them |Â |
|Â |Purchase of shares |
|Smith & Williamson Nominees Limited | |
|Â | |
+---------------------------------------+--------------------------------------+
|9. Â Number of shares, debentures or|10. Â Percentage of issued class|
|financial instruments relating to|acquired (treasury shares of that|
|shares acquired |class should not be taken into account|
|Â |when calculating percentage) |
|13,500 |Â |
| |0.02% |
| |Â |
+---------------------------------------+--------------------------------------+
|11. Â Number of shares, debentures or|12. Â Percentage of issued class|
|financial instruments relating to|disposed (treasury shares of that|
|shares disposed |class should not be taken into account|
|Â |when calculating percentage) |
|N/A |Â |
| |N/A |
| |Â |
+---------------------------------------+--------------------------------------+
|13. Â Price per share or value of|14. Â Date and place of transaction |
|transaction |Â |
|Â |16 August 2011 - London Stock Exchange|
|240.25p |Â |
+---------------------------------------+--------------------------------------+
|15. Total holding following|16. Â Date issuer informed of|
|notification and total percentage|transaction |
|holding following notification (any|Â |
|treasury shares should not be taken|16 August 2011 |
|into account when calculating| |
|percentage). | |
|Â | |
|233,500 - 0.29% | |
|Â | |
+---------------------------------------+--------------------------------------+
If a person discharging managerial responsibilities has been granted options by
the issuer complete the following boxes
+-------------------------------------+----------------------------------------+
|17.  Date of grant |18.  Period during which or date on|
|Â |which exercisable |
|N/A |Â |
| |N/A |
| |Â |
+-------------------------------------+----------------------------------------+
|19. Â Total amount paid (if any) for|20. Â Description of shares or|
|grant of the option |debentures involved (class and number) |
|Â |Â |
|N/A |N/A |
| |Â |
+-------------------------------------+----------------------------------------+
|21. Â Exercise price (if fixed at|22. Â Total number of shares or|
|time of grant) or indication that|debentures over which options held|
|price is to be fixed at the time of|following notification. |
|exercise |Â |
|Â |N/A |
|N/A |Â |
+-------------------------------------+----------------------------------------+
+--------------------------------+---------------------------------------------+
|23. Â Any additional information|24. Â Name of contact and telephone number for|
|Â |queries |
|None |Â |
| |Jenny Thompson |
| |020-7314-5565 |
+--------------------------------+---------------------------------------------+
Name of authorised official of issuer responsible for making notification
Jenny Thompson
For and on behalf of Jupiter Asset Management Limited, Secretaries
Date of notification  -  16 August 2011
This announcement is distributed by Thomson Reuters on behalf of
Thomson Reuters clients. The owner of this announcement warrants that:
(i) the releases contained herein are protected by copyright and
other applicable laws; and
(ii) they are solely responsible for the content, accuracy and
originality of the information contained therein.
Source: Jupiter European Opportunities Trust PLC via Thomson Reuters ONE
[HUG#1538809]
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