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EPT Disclosure

9th Apr 2008 12:32

Credit Suisse Sydney Branch09 April 2008 FORM 38.5 (b) 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)1. KEY INFORMATIONName of exempt principal trader Credit Suisse Sydney branchCompany dealt in BHP Billiton LimitedClass of relevant security to which the dealings being Ordinary Sharesdisclosed relate (Note 1)Date of dealing 8-04-2007 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 1,304,637 0.038 9,717,049 0.289(2) Derivatives (other than options)(3) Options and agreements to purchase/sell 3,857,000 0.115 3,208,000 0.095Total 5,161,637 0.154 12,925,049 0.385 (b) Interests and short positions in relevant securities of the company, other than the class dealt in (Note 2)Class Of Relevant Security Long Short(1) Relevant Securities(2) Derivatives (other than options)(3) Options and agreements to purchase/sellTotal (c) Rights to subscribe (Note 2)Class of relevant security: Details 3. DEALINGS (Note 3)(a) Purchases and salesPurchase/sale Number of securities Price per unit (Note 4)Purchase 1,947 40.25Purchase 7,977 40.25Purchase 2,863 40.30Purchase 225 40.30Purchase 379 40.30Purchase 33 40.30Purchase 1,000 40.30Purchase 500 40.30Purchase 75 40.25Purchase 1 40.24Purchase 6,080 40.43Purchase 500 40.43Purchase 2,076 40.43Purchase 600 40.43Purchase 744 40.43Sale -44 40.85Sale -3,125 40.65Sale -366 40.65Sale -1,054 40.65Sale -205 40.66Sale -250 40.66Sale -3,477 40.50Sale -521 40.50Sale -158 40.50Sale -144 40.50Sale -4 40.50Sale -102 40.50Sale -75 40.50Sale -519 40.50Sale -8,834 40.84Sale -100 40.84Sale -48 40.84Sale -15,000 40.84Sale -250 40.85Sale -724 40.85Sale -4,919 41.22Sale -2,200 41.22Sale -158 41.22Sale -37 41.22Sale -2,686 41.22Sale -10,000 40.80Sale -5,000 40.45Total Buys:25000 Total Sells:60000(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) (c) Options transactions in respect of existing securities(i) Writing, selling, purchasing or varyingProduct Writing, selling, Number of securities to Exercise Type, e.g. Expiry Option money paid/name,e.g. purchasing, varying which the option relates price American, date received per unitcall option etc. (Note 6) European etc. (Note 4) (ii) ExercisingProduct name, e.g. call option Number of securities Exercise price per unit (Note 4) (d) Other dealings (including new securities) (Note 3)Nature of transaction (Note 7) Details Price per unit (if applicable) (Note 4) 4. OTHER INFORMATIONAgreements, arrangements or understandings relating to options or derivatives Product Description Written/Purchased No. of Securities Exercise Price Type Expiry DateCall Option SOLD 1,284,000 0.01 American Jun 26 2008Call Option SOLD 25,000 35.00 American Apr 23 2008Call Option SOLD 15,000 37.00 American Apr 23 2008Call Option SOLD 80,000 37.00 American Jun 26 2008Call Option SOLD 200,000 38.00 American Jun 26 2008Call Option SOLD 55,000 39.00 American Dec 18 2008Call Option SOLD 150,000 40.00 American Jun 26 2008Call Option SOLD 50,000 44.00 American Jun 26 2008Call Option SOLD 100,000 50.00 American Dec 18 2008Call Option SOLD 300,000 50.00 American Jun 25 2009Call Option PURCHASED 50,000 18.00 American Jul 24 2008Call Option PURCHASED 550,000 31.00 American Jun 26 2008Call Option PURCHASED 200,000 32.00 American Jan 29 2009Call Option PURCHASED 100,000 32.00 American Jul 24 2008Call Option PURCHASED 100,000 35.00 American Jul 24 2008Call Option PURCHASED 18,000 36.00 American Apr 23 2008Call Option PURCHASED 46,000 38.00 American Apr 23 2008Call Option PURCHASED 9,000 38.00 American May 29 2008Call Option PURCHASED 24,000 39.00 American Apr 23 2008Call Option PURCHASED 110,000 39.00 American May 29 2008Call Option PURCHASED 19,000 40.00 American Apr 23 2008Call Option PURCHASED 28,000 40.00 American Sep 25 2008Call Option PURCHASED 6,000 40.00 American May 29 2008Call Option PURCHASED 20,000 41.00 American Apr 23 2008Call Option PURCHASED 91,000 41.00 American Jun 26 2008Call Option PURCHASED 2,000 41.00 American Sep 25 2008Call Option PURCHASED 156,000 41.00 American May 29 2008Call Option PURCHASED 19,000 42.00 American Apr 23 2008Call Option PURCHASED 235,000 42.00 American Jun 26 2008Call Option PURCHASED 90,000 42.00 American May 29 2008Call Option PURCHASED 4,000 43.00 American Apr 23 2008Call Option PURCHASED 2,000 43.00 American May 29 2008Call Option PURCHASED 5,000 44.00 American Apr 23 2008Call Option PURCHASED 200,000 44.00 American Mar 25 2010Call Option PURCHASED 4,000 46.00 American May 29 2008Call Option PURCHASED 50,000 56.00 American Sep 25 2008Call Option PURCHASED 50,000 60.00 American Jun 26 2008Call Option PURCHASED 3,000 39.50 American Apr 23 2008Call Option PURCHASED 96,000 38.50 American Apr 23 2008Call Option PURCHASED 66,000 38.50 American Jun 26 2008Call Option PURCHASED 9,000 41.50 American Apr 23 2008Call Option PURCHASED 4,000 37.50 American Apr 23 2008Put Option SOLD 200,000 24.00 American Jul 24 2008Put Option SOLD 20,000 30.00 American Apr 23 2008Put Option SOLD 250,000 30.00 American Jun 26 2008Put Option SOLD 4,000 31.00 American Jun 26 2008Put Option SOLD 25,000 33.00 American Apr 23 2008Put Option SOLD 181,000 34.00 American Apr 23 2008Put Option SOLD 20,000 35.00 American Apr 23 2008Put Option SOLD 50,000 35.00 American Jul 24 2008Put Option SOLD 178,000 35.00 American Jun 26 2008Put Option SOLD 96,000 36.00 American Apr 23 2008Put Option SOLD 6,000 36.00 American Jun 26 2008Put Option SOLD 100,000 36.00 American May 29 2008Put Option SOLD 75,000 37.00 American Apr 23 2008Put Option SOLD 50,000 37.00 American May 29 2008Put Option SOLD 4,000 38.00 American Dec 18 2008Put Option SOLD 205,000 38.00 American Jun 26 2008Put Option SOLD 22,000 39.00 American Dec 18 2008Put Option PURCHASED 75,000 18.00 American Jul 24 2008Put Option PURCHASED 250,000 19.50 American Jul 24 2008Put Option PURCHASED 150,000 22.00 American Jul 24 2008Put Option PURCHASED 1,000 30.00 American Sep 25 2008Put Option PURCHASED 66,000 34.00 American Jun 26 2008Put Option PURCHASED 50,000 34.00 American Sep 25 2008Put Option PURCHASED 250,000 34.00 American May 29 2008Put Option PURCHASED 75,000 35.00 American Aug 28 2008Put Option PURCHASED 25,000 37.00 American Jun 26 2008Put Option PURCHASED 7,000 38.00 American Apr 23 2008 This information is provided by RNS The company news service from the London Stock Exchange

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BHP Group
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