CODE OF ETHICS AND BUSINESS CONDUCT



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CODE OF ETHICS AND BUSINESS CONDUCT Date of Issue: 22 January 2015 Version number: 2

LUXFER HOLDINGS PLC Code of Ethics and Business Conduct Luxfer Holdings PLC is committed to conducting its business with honesty and integrity including the ethical handling of conflicts and apparent conflicts of interest and in compliance with the law. The Board of Directors of Luxfer Holdings PLC (together with its subsidiaries and joint ventures, the "Company") has adopted this Code of Ethics and Business Conduct (the "Code ) intended as guide to appropriate conduct and setting out acceptable behavior for persons associated with the Company in conducting the Company s business and acting on behalf of the Company. All directors, officers and employees (collectively Company Personnel ) are required to be familiar with the Code, comply with its provisions, and report any suspected violations as described below in Section 9 Reporting and Enforcement. However, as a global Company, the Company s employees and operations are subject to the laws of many different countries and jurisdictions around the world. All Company Personnel are expected to comply with all applicable laws and regulations in the relevant countries and jurisdictions in addition. If a provision of the Code conflicts with other applicable law or regulations then those laws or regulations will prevail. 1. Honest and Ethical Conduct. 1.1 Company Personnel must act with integrity and observe high ethical standards of business conduct in their dealings in the course of performing his or her job. 1.2 Directors and officers are expected to promote ethical behaviors and help foster a culture of ethics and compliance 2. Conflicts of Interest. 2.1 A conflict of interest occurs when an individual's private interest (or the interest of a member of his or her family) interferes, or even appears to interfere, with the interests of the Company as a whole. A conflict of interest can arise when an employee, officer or director (or a member of his or her family) takes actions or has interests that may make it difficult to perform his or her work for the Company objectively and effectively. Conflicts of interest also arise when an employee, officer or director (or a member of his or her family) receives improper personal benefits as a result of his or her position in the Company. 2

2.2 Whether or not a conflict of interest exists or will exist can be unclear. Conflicts of interest should be avoided unless specifically authorized as described in Subsection 2.4 below. 2.3 Employees other than directors and executive officers who have questions about a potential conflict of interest or who become aware of an actual or potential conflict should discuss the matter with, and seek a determination and prior authorization or approval from, their supervisor line manager or the General Counsel. A line manager may not authorize or approve conflict of interest matters or make determinations as to whether a problematic conflict of interest exists without first providing the Company Secretary with a written description of the activity and seeking the Company Secretary s written approval. If the line manager is himself involved in the potential or actual conflict, the matter should instead be discussed directly with the Company Secretary. 2.4 Directors and executive officers must seek determinations and prior authorizations or approvals of potential conflicts of interest exclusively from the Audit Committee. 3. Compliance 3.1 Company Personnel should comply, both in letter and spirit, with all applicable laws, rules and regulations in the states and countries in which the Company operates. 3.2 Although Company Personnel are not expected to know the details of all applicable laws, rules and regulations, it is important to know enough to determine when to seek advice. Questions about compliance should be addressed to the Legal Department or to outside counsel after complying with the relevant business unit s normal practice and requirements on instructing outside counsel. 3.3 Company Personnel are required to comply with the Company s policy on antibribery. A copy of this policy can be obtained from your divisional Finance Director or from the General Counsel of Luxfer. 3.4 No Company Personnel may purchase or sell any Company securities while in possession of material non-public information regarding the Company, nor may any director, officer or employee purchase or sell another company's securities while in possession of material non-public information regarding that company. It is against Company policies and illegal for any director, officer or employee to use material non-public information regarding the Company or any other company to: obtain profit for himself or herself; or 3

directly or indirectly "tip" others who might make an investment decision on the basis of that information. Company Personnel are required to comply with the Company s policy on Insider Trading and Dealing. A copy of this policy can be obtained from your Divisional Finance Director or from the General Counsel of Luxfer. 4. Disclosure. 4.1 The Company's periodic reports and other documents filed with Companies House, the SEC and other bodies around the world including all financial statements and other financial information, must comply with applicable laws, regulation and rules. 4.2 All Company Personnel who contribute in any way to the preparation or verification of the Company's financial statements and other financial information must ensure that the Company's books, records and accounts are accurately maintained. All Company Personnel must cooperate fully with the Company's Accounting and Corporate Review employees, as well as the Company's independent auditors and counsel. 4.3 Company Personnel involved in the Company's disclosure process must: be familiar with and comply with the Company's disclosure controls and procedures and its internal control over financial reporting; and take all necessary steps to ensure that all filings with Companies House, the SEC and other national bodies and all other public communications about the financial and business condition of the Company provide full, fair, accurate, timely and understandable disclosure. 5. Protection and Proper Use of Company Assets. 5.1 All Company Personnel should protect the Company's assets and ensure their efficient use. Theft, carelessness and waste have a direct impact on the Company's profitability. 5.2 All Company assets should be used only for legitimate business purposes though incidental personal use may be permitted by their relevant business unit rules. Any suspected incident of fraud or theft should be reported for investigation immediately. 5.3 The obligation to protect Company assets includes the Company's proprietary information. Proprietary information includes intellectual property such as trade secrets, patents, trademarks, and copyrights, as well as business and marketing 4

plans, engineering and manufacturing ideas, designs, databases, records and any non-public financial data or reports. Unauthorized use or distribution of this information is prohibited and could also be illegal and result in civil or criminal penalties. 6. Corporate Opportunities. All Company Personnel owe a duty to the Company to advance its interests when the opportunity arises. All Company Personnel are prohibited from taking for themselves personally (or for the benefit of friends or family members) opportunities that are discovered through the use of Company assets, property, information or position. Company Personnel may not use Company assets, property, information or position for personal gain (including gain of friends or family members). In addition, Company Personnel may not compete with the Company. 7. Confidentiality. 7.1 Company Personnel should maintain the confidentiality of information entrusted to them by the Company or by its customers, suppliers or partners, except when disclosure is expressly authorized or legally required. Confidential information includes all non-public information (regardless of its source) that might be of use to the Company's competitors or harmful to the Company or its customers, suppliers or partners if disclosed. Company Personnel. 7.2 Inadvertent Communications: Confidential information must be protected and efforts should be taken to avoid inadvertent communication. Discussions should only be held in private locations where they cannot be overheard, and documents should be kept hidden from public view and secured whenever not actually in use. Do not give anyone access to e-mail messages or computer directories, and do not store confidential information in electronic form in directories, databases or other storage mechanisms (e.g., internet cloud storage) with public access. 7.3 Ethical Dealing. All Company Personnel must deal ethically with all parties with whom he or she has contact in the course of performing his or her job. No Company Personnel may take unfair advantage of anyone through manipulation, concealment, abuse or privileged information, misrepresentation of facts or any other unfair dealing practice. 8. Human Rights 8.1 It is every employee s responsibility to maintain a work environment that reflects respect and is free from discrimination and harassment and in dealing with others both inside and outside the workplace to respect and promote Human Rights. 5

9. Reporting and Enforcement. 9.1 Reporting and Investigation of Breaches. (c) (d) (e) (f) Alleged breaches of the Code involving directors must be reported directly to the Chairman of the Audit Committee. Alleged breaches of the Code involving members of the Executive Board must be reported to the Chief Executive Officer initially who shall report the matter to the Audit Committee. Alleged breaches of the Code involving any other person must be reported to senior management in the relevant business. If it is considered inappropriate to report to senior management in the business unit then a report can be made to the Chief Executive Officer or General Counsel. Alleged breaches that involve matters covered by the relevant whistleblowing policy in the jurisdiction in which a whistleblower is employed should be reported in accordance with that policy. All Whistleblowing policies in the Group contain details of a third party helpline. After receiving a report of an alleged breach of the Code, the Audit Committee, the relevant senior management or the Chief Executive Officer or general counsel as appropriate will promptly take all appropriate actions necessary to investigate. Where there are appropriate polices such as a whistleblowing policy or local policies and/or laws and/or regulations dealing with investigation of wrongdoing these will be followed. All Company Personnel are expected to cooperate in any internal investigation of misconduct. 9.2 Enforcement. If, after investigating a report of an alleged breach of the Code by a director or Executive Board member, the Audit Committee determines that a breach of the Code has occurred, the Audit Committee will report such determination to the Board of Directors who shall take such preventative or disciplinary action as it deems appropriate, including, but not limited to, reassignment, demotion, dismissal and, in the event of criminal conduct or other serious violations of the law, notification of appropriate governmental authorities. If, after investigating a report of an alleged breach of the Code by any other person, the relevant investigator determines that a violation of this 6

9.3 Waivers. Code has occurred, the matter will be dealt with under the business unit s local disciplinary policy. In the event of criminal conduct or other serious violations of the law, notification of appropriate governmental authorities will be made. Each of the Board of Directors (in the case of a violation by a director or executive board member) and the Executive Board (in the case of a violation by any other person) may, in its discretion, waive any violation of this Code. Any waiver for a director or a member of the Executive Board shall be disclosed if required by SEC and NYSE rules. 9.4 Prohibition on Retaliation. The Company does not tolerate acts of retaliation against any Company Personnel who make a good faith report of known or suspected acts of misconduct or other breaches of this Code. It is however a breach of the Code to knowingly make a false accusation, lie to those investigating a breach or interfere or refuse to cooperate with an investigation under the Code. Good faith reporting does not mean you have to be right in raising a concern, you just have to honestly believe that you are providing accurate information. 7