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EPT Disclosure

10th Jul 2008 11:33

RNS Number : 7823Y
Macquarie Group Limited
10 July 2008
 



 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 
WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RI STATUS
BUT NOT DEALING IN A CLIENT-SERVING CAPACITY
(Rule 38.5(b) of the Takeover Code)

Part 2of 2 

1. KEY INFORMATION

Name of exempt principal trader

Macquarie Bank Limited

Company dealt in

BHP Billiton Limited

Class of relevant security to which the dealings being disclosed relate (Note 1)

Ordinary shares ISIN: AU000000BHP4

Date of dealing

9 July 2008

2. INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE

(a) Interests and short positions (following dealing) in the class of relevant security dealt in (Note 2)

Long

Short

Number (%)

Number (%)

(1) Relevant securities 

4,093,532  0.13%

(2) Derivatives (other than options)

118,299 0.00%

(3) Options and agreements to purchase/sell

5,822,414  0.17%

Total

118,299 0.00%

9,915,946 0.29%

Interests and short positions in relevant securities of the company, other than the class dealt in (Note 2)

Class of relevant security:

Long

Short

Number (%)

Number (%)

(1) Relevant securities 

(2) Derivatives (other than options)

(3) Options and agreements to purchase/sell

Total

Rights to subscribe (Note 2)

Class of relevant security:

Details

3. DEALINGS (Note 3)

Purchases and sales

Purchase/sale

Number of securities

Price per unit (Note 4)

See Part 2 - Annexure A

(b) Derivatives transactions (other than options)

Product name, 

e.g. CFD

Long/short (Note 5)

Number of securities (Note 6)

Price per unit (Note 4)

See Part 2 - Annexure B

I Options transactions in respect of existing securities

(i) Writing, selling, purchasing or varying

Product name,

e.g. call option

Writing, selling, purchasing, varying etc.

Number of securities to which the option relates (Note 6)

Exercise

price 

Type, e.g. American, European etc.

Expiry 

date

Option money

paid/received per unit (Note 4) 

See Part 2 - Annexure C

Exercising

Product name, e.g. call option

Number of securities 

Exercise price per unit (Note 4)

Other dealings (including new securities) (Note 3)

Nature of Transaction

Quantity

Price Per Unit (if applicable)

Stock Loans

5,200

Collateral Received

2,445,300

Collateral Received Returns

210,000

4. OTHER INFORMATION

Agreements, arrangements or understandings relating to options or derivatives

Full details of any agreement, arrangement or understanding between the person disclosing and any other person relating to the voting rights of any relevant securities under any option referred to on this form or relating to the voting rights or future acquisition or disposal of any relevant securities to which any derivative referred to on this form is referenced. If none, this should be stated.

Is a Supplemental Form 38.5(b) attached? (Note 8) YES

Date of disclosure

10 July 2008

Contact name

Johanna Uy

Telephone number

+44 (0) 2030374339

Name of offeree/offeror with which connected

Rio Tinto Plc

Nature of connection (Note 9)

Connected principal trader

Annexure A

B = 276457 S = -461641 

Buy Sell

Exec Quantity

Exec Price

BUY

9000.00

40.08

BUY

9237.00

40.07

BUY

16.00

40.07

BUY

747.00

40.07

BUY

2500.00

39.88

BUY

5000.00

39.88

BUY

2500.00

39.88

BUY

621.00

39.95

BUY

9379.00

39.95

BUY

10000.00

40.15

BUY

10000.00

40.15

BUY

8817.00

39.80

BUY

171.00

39.80

BUY

1012.00

39.80

BUY

5000.00

39.70

BUY

244.00

39.70

BUY

2150.00

39.70

BUY

31.00

39.70

BUY

2575.00

39.70

BUY

01.00

39.99

BUY

01.00

39.71

BUY

03.00

39.82

BUY

2647.00

39.82

BUY

780.00

39.82

BUY

282.00

39.82

BUY

247.00

39.82

BUY

12.00

40.13

BUY

12.00

40.13

BUY

12.00

40.15

BUY

12.00

40.15

BUY

12.00

40.15

BUY

172.00

40.15

BUY

12.00

40.15

BUY

544.00

39.78

BUY

479.00

39.78

BUY

17.00

39.78

BUY

74.00

39.98

BUY

2398.00

40.08

BUY

44.00

40.08

BUY

4000.00

40.02

BUY

149.00

39.86

BUY

58.00

40.03

BUY

520.00

40.03

BUY

07.00

39.76

BUY

30.00

39.76

BUY

472.00

39.76

BUY

283.00

39.87

BUY

300.00

39.69

BUY

2000.00

40.05

BUY

551.00

40.10

BUY

400.00

40.05

BUY

200.00

40.02

BUY

200.00

40.00

BUY

300.00

39.88

BUY

200.00

39.80

BUY

177.00

39.95

BUY

23.00

39.95

BUY

157.00

39.98

BUY

143.00

39.98

BUY

700.00

40.00

BUY

110.00

40.15

BUY

1100.00

40.18

BUY

1000.00

40.26

BUY

250.00

40.21

BUY

671.00

40.17

BUY

827.00

40.17

BUY

02.00

40.17

BUY

1500.00

40.15

BUY

300.00

40.00

BUY

500.00

40.17

BUY

349.00

40.02

BUY

151.00

40.02

BUY

3000.00

39.80

BUY

700.00

39.94

BUY

300.00

39.88

BUY

227.00

40.15

BUY

1873.00

40.15

BUY

630.00

39.94

BUY

995.00

40.05

BUY

4005.00

40.05

BUY

415.00

40.05

BUY

4585.00

40.05

BUY

1078.00

40.05

BUY

15.00

40.05

BUY

638.00

40.05

BUY

8269.00

40.05

BUY

1000.00

39.93

BUY

4000.00

39.96

BUY

40.00

39.83

BUY

36.00

39.83

BUY

13.00

39.83

BUY

251.00

39.83

BUY

226.00

39.83

BUY

250.00

39.83

BUY

96100.00

76.36

BUY

7200.00

75.85

BUY

28220.00

75.88

BUY

100.00

76.59

BUY

100.00

76.74

BUY

700.00

76.75

BUY

100.00

76.73

BUY

100.00

76.75

BUY

100.00

76.56

BUY

100.00

76.56

BUY

100.00

76.56

BUY

100.00

76.60

BUY

700.00

76.62

BUY

100.00

76.62

BUY

100.00

76.56

BUY

100.00

76.57

BUY

500.00

76.57

BUY

2500.00

75.71

BUY

2500.00

74.62

SELL

-38675.00

39.50

SELL

-300000.00

39.54

SELL

-22.00

40.05

SELL

-500.00

40.05

SELL

-9478.00

39.99

SELL

-10000.00

40.02

SELL

-8797.00

39.82

SELL

-1203.00

39.82

SELL

-474.00

40.03

SELL

-212.00

40.03

SELL

-6997.00

40.03

SELL

-1237.00

40.03

SELL

-580.00

40.03

SELL

-500.00

40.03

SELL

-1451.00

40.10

SELL

-589.00

40.10

SELL

-3681.00

40.10

SELL

-776.00

40.10

SELL

-20.00

40.10

SELL

-1000.00

40.10

SELL

-15.00

39.97

SELL

-2483.00

40.10

SELL

-200.00

40.03

SELL

-15.00

39.97

SELL

-9770.00

39.97

SELL

-1780.00

40.02

SELL

-250.00

40.02

SELL

-7970.00

40.02

SELL

-01.00

39.99

SELL

-01.00

39.72

SELL

-1200.00

40.08

SELL

-439.00

39.98

SELL

-877.00

39.93

SELL

-708.00

39.95

SELL

-551.00

40.08

SELL

-1000.00

40.02

SELL

-1500.00

40.03

SELL

-123.00

40.00

SELL

-131.00

40.00

SELL

-1000.00

40.00

SELL

-746.00

40.00

SELL

-01.00

39.82

SELL

-99.00

39.82

SELL

-100.00

39.84

SELL

-467.00

40.00

SELL

-84.00

40.00

SELL

-426.00

40.09

SELL

-74.00

40.09

SELL

-450.00

40.12

SELL

-739.00

40.15

SELL

-261.00

40.15

SELL

-400.00

40.11

SELL

-100.00

40.11

SELL

-672.00

40.25

SELL

-328.00

40.24

SELL

-300.00

40.06

SELL

-141.00

39.73

SELL

-359.00

39.73

SELL

-250.00

39.71

SELL

-1000.00

39.98

SELL

-90.00

39.98

SELL

-5000.00

39.85

SELL

-5000.00

39.85

SELL

-5768.00

39.80

SELL

-2335.00

39.80

SELL

-200.00

39.80

SELL

-1697.00

39.80

SELL

-5000.00

39.77

SELL

-125.00

39.98

SELL

-769.00

39.98

SELL

-417.00

40.03

SELL

-284.00

40.01

SELL

-539.00

40.01

SELL

-1815.00

39.93

SELL

-762.00

39.93

SELL

-5000.00

39.98

-3637.00

OTC sale to custodian at market.

Total

-185184.00

Annexure B

B = 11392 S = 15814

Type

BuySell

Exec Quantity

Exec Price

CFDS

BUY

551.00

40.08

CFDS

BUY

1000.00

40.02

CFDS

BUY

1500.00

40.03

CFDS

BUY

123.00

40.00

CFDS

BUY

131.00

40.00

CFDS

BUY

1000.00

40.00

CFDS

BUY

746.00

40.00

CFDS

BUY

01.00

39.82

CFDS

BUY

99.00

39.82

CFDS

BUY

100.00

39.84

CFDS

BUY

261.00

40.15

CFDS

BUY

467.00

40.00

CFDS

BUY

84.00

40.00

CFDS

BUY

450.00

40.12

CFDS

BUY

426.00

40.09

CFDS

BUY

74.00

40.09

CFDS

BUY

328.00

40.24

CFDS

BUY

739.00

40.15

CFDS

BUY

400.00

40.11

CFDS

BUY

100.00

40.11

CFDS

BUY

672.00

40.25

CFDS

BUY

300.00

40.06

CFDS

BUY

250.00

39.71

CFDS

BUY

141.00

39.73

CFDS

BUY

359.00

39.73

CFDS

BUY

1000.00

39.98

CFDS

BUY

90.00

39.98

CFDS

SELL

-2000.00

40.05

CFDS

SELL

-551.00

40.10

CFDS

SELL

-400.00

40.05

CFDS

SELL

-200.00

40.02

CFDS

SELL

-200.00

40.00

CFDS

SELL

-300.00

39.88

CFDS

SELL

-177.00

39.95

CFDS

SELL

-23.00

39.95

CFDS

SELL

-200.00

39.80

CFDS

SELL

-700.00

40.00

CFDS

SELL

-143.00

39.98

CFDS

SELL

-157.00

39.98

CFDS

SELL

-110.00

40.15

CFDS

SELL

-1000.00

40.26

CFDS

SELL

-1100.00

40.18

CFDS

SELL

-250.00

40.21

CFDS

SELL

-02.00

40.17

CFDS

SELL

-827.00

40.17

CFDS

SELL

-671.00

40.17

CFDS

SELL

-1500.00

40.15

CFDS

SELL

-300.00

40.00

CFDS

SELL

-151.00

40.02

CFDS

SELL

-500.00

40.17

CFDS

SELL

-349.00

40.02

CFDS

SELL

-3000.00

39.80

CFDS

SELL

-700.00

39.94

CFDS

SELL

-300.00

39.88

CMBO

SELL

-01.00

00.01

CMBO

SELL

-01.00

500335.95

CMBO

SELL

-01.00

244175.00

Total

-4422.00

Annexure C

B = 3862 S = -27476 

Call/Put

Buy Sell

Exec Quantity

Exec Price

Strike

Amer/Euro

Expiry

Put Option

BUY

10.00

02.62

40.50

American

20080828

Call Option

BUY

03.00

00.70

42.00

American

20080724

Put Option

BUY

10.00

02.29

40.00

American

20080828

Put Option

BUY

15.00

02.38

40.00

American

20080828

Put Option

BUY

01.00

02.35

40.00

American

20080828

Put Option

BUY

03.00

02.35

40.00

American

20080828

Call Option

BUY

02.00

01.04

41.00

American

20080724

Call Option

BUY

02.00

01.10

49.00

American

20081030

Call Option

BUY

12.00

00.93

47.00

American

20080925

Call Option

BUY

04.00

00.29

44.00

American

20080724

Put Option

BUY

500.00

15.00

25.00

European

19/05/2016

Put Option

BUY

1000.00

14.95

25.00

European

19/05/2016

Put Option

BUY

800.00

10.60

32.00

European

17/11/2016

Put Option

BUY

1500.00

10.98

29.00

European

30/10/2007

Put Option

SELL

-10.00

01.66

40.50

American

20080724

Put Option

SELL

-10.00

01.32

40.00

American

20080724

Put Option

SELL

-15.00

01.41

40.00

American

20080724

Put Option

SELL

-01.00

01.39

40.00

American

20080724

Put Option

SELL

-03.00

01.39

40.00

American

20080724

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-1000.00

00.05

60.00

American

20080925

Call Option

SELL

-14000.00

00.05

60.00

American

20080925

Put Option

SELL

-3750.00

16.13

25.00

European

17/11/2016

Put Option

SELL

-250.00

16.13

25.00

European

17/11/2016

Put Option

SELL

-693.00

28.84

23.00

European

29/06/2018

Put Option

SELL

-611.00

27.84

23.00

European

29/06/2018

Put Option

SELL

-360.00

27.79

23.00

European

29/06/2018

Put Option

SELL

-163.00

24.59

20.00

European

28/06/2013

Put Option

SELL

-310.00

24.15

20.00

European

28/06/2013

Put Option

SELL

-1300.00

10.75

29.00

European

30/10/2007

Total

-23614.00

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
EMMSFSFSSSASEDW

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