4th Aug 2009 11:39
| 
 FORM 38.5(a)  | 
| 
 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS  | 
| 
 WITH RECOGNISED INTERMEDIARY STATUS  | 
| 
 DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 (Rule 38.5(a) of the Takeover Code))  | 
| 
 1. KEY INFORMATION  | 
| 
 Name of exempt principal trader  | 
 Merrill Lynch International  | 
| 
 Company dealt in  | 
 Brixton plc  | 
| 
 Class of relevant security to which the  | 
 Common  | 
| 
 dealings being disclosed relate  | 
| 
 Date of dealing  | 
 03/08/2009  | 
| 
 2. DEALINGS  | 
| 
 (a) Purchases and sales  | 
| 
 Total number of securities  | 
 Highest price paid  | 
 Lowest price paid  | 
| 
 purchased  | 
| 
 4,300  | 
 GBP 0.48  | 
 GBP 0.48  | 
| 
 Total number of securities sold  | 
 Highest price received  | 
 Lowest price received  | 
| 
 90,657  | 
 GBP 0.48  | 
 GBP 0.47  | 
| 
 (b) Derivatives transactions (other than options)  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Short Swap  | 
 SHORT  | 
 86,357  | 
 GBP 0.47  | 
| 
 (c) Options transactions in respect of existing securities  | 
| 
 Product name  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type, e.g.  | 
 Expiry  | 
 Option  | 
| 
 selling,  | 
 securities under  | 
 price  | 
 American,  | 
 date  | 
 money  | 
| 
 eg call option  | 
 purchasing,  | 
 option  | 
 European etc  | 
 paid/received  | 
| 
 varying etc.  | 
 per unit  | 
| 
 (ii) Exercising  | 
| 
 Product name  | 
 Number of securities under  | 
 Exercise price  | 
| 
 eg call option  | 
 option  | 
| 
 3. 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.  | 
| 
 NONE  | 
| 
 Date of disclosure  | 
 04/08/2009  | 
| 
 Contact name  | 
 Bhavika Mistry  | 
| 
 Telephone number  | 
 +44 207 995 4747  | 
| 
 Name of offeree/offeror with whom connected  | 
 SEGRO PLC  | 
| 
 Nature of connection #  | 
 Advisor  | 
| 
 FORM 38.5(a)  | 
| 
 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS  | 
| 
 WITH RECOGNISED INTERMEDIARY STATUS  | 
| 
 DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 (Rule 38.5(a) of the Takeover Code))  | 
| 
 1. KEY INFORMATION  | 
| 
 Name of exempt principal trader  | 
 Merrill Lynch International  | 
| 
 Company dealt in  | 
 National Express Group Plc  | 
| 
 Class of relevant security to which the  | 
 Common  | 
| 
 dealings being disclosed relate  | 
| 
 Date of dealing  | 
 03/08/2009  | 
| 
 2. DEALINGS  | 
| 
 (a) Purchases and sales  | 
| 
 Total number of securities  | 
 Highest price paid  | 
 Lowest price paid  | 
| 
 purchased  | 
| 
 495,086  | 
 GBP 3.48  | 
 GBP 3.30  | 
| 
 Total number of securities sold  | 
 Highest price received  | 
 Lowest price received  | 
| 
 405,640  | 
 GBP 3.47  | 
 GBP 3.30  | 
| 
 (b) Derivatives transactions (other than options)  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Long Swap  | 
 LONG  | 
 76,717  | 
 GBP 3.43  | 
| 
 Long Swap  | 
 LONG  | 
 28,737  | 
 GBP 3.46  | 
| 
 Long Swap  | 
 LONG  | 
 1,470  | 
 GBP 3.43  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Short Swap  | 
 SHORT  | 
 1  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 1  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 3  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 4  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 34  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 67  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 83  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 250  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 867  | 
 GBP 3.44  | 
| 
 Short Swap  | 
 SHORT  | 
 16,168  | 
 GBP 3.46  | 
| 
 (c) Options transactions in respect of existing securities  | 
| 
 Product name  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type, e.g.  | 
 Expiry  | 
 Option  | 
| 
 selling,  | 
 securities under  | 
 price  | 
 American,  | 
 date  | 
 money  | 
| 
 eg call option  | 
 purchasing,  | 
 option  | 
 European etc  | 
 paid/received  | 
| 
 varying etc.  | 
 per unit  | 
| 
 (ii) Exercising  | 
| 
 Product name  | 
 Number of securities under  | 
 Exercise price  | 
| 
 eg call option  | 
 option  | 
| 
 3. 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.  | 
| 
 NONE  | 
| 
 Date of disclosure  | 
 04/08/2009  | 
| 
 Contact name  | 
 Bhavika Mistry  | 
| 
 Telephone number  | 
 +44 207 995 4747  | 
| 
 Name of offeree/offeror with whom connected  | 
 National Express Group  | 
| 
 Nature of connection #  | 
 Advisor  | 
| 
 FORM 38.5(a)  | 
| 
 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS  | 
| 
 WITH RECOGNISED INTERMEDIARY STATUS  | 
| 
 DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 (Rule 38.5(a) of the Takeover Code))  | 
| 
 1. KEY INFORMATION  | 
| 
 Name of exempt principal trader  | 
 Merrill Lynch International  | 
| 
 Company dealt in  | 
 STAGECOACH GROUP PLC  | 
| 
 Class of relevant security to which the  | 
 Common  | 
| 
 dealings being disclosed relate  | 
| 
 Date of dealing  | 
 03/08/2009  | 
| 
 2. DEALINGS  | 
| 
 (a) Purchases and sales  | 
| 
 Total number of securities  | 
 Highest price paid  | 
 Lowest price paid  | 
| 
 purchased  | 
| 
 68,033  | 
 GBP 1.38  | 
 GBP 1.35  | 
| 
 Total number of securities sold  | 
 Highest price received  | 
 Lowest price received  | 
| 
 112,482  | 
 GBP 1.39  | 
 GBP 1.37  | 
| 
 (b) Derivatives transactions (other than options)  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Long Swap  | 
 LONG  | 
 214,751  | 
 GBP 1.36  | 
| 
 Long Swap  | 
 LONG  | 
 31,329  | 
 GBP 1.36  | 
| 
 Long Swap  | 
 LONG  | 
 24,464  | 
 GBP 1.36  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Short Swap  | 
 SHORT  | 
 2,307  | 
 GBP 1.37  | 
| 
 Short Swap  | 
 SHORT  | 
 4,447  | 
 GBP 1.37  | 
| 
 Short Swap  | 
 SHORT  | 
 12,543  | 
 GBP 1.38  | 
| 
 Short Swap  | 
 SHORT  | 
 16,759  | 
 GBP 1.37  | 
| 
 Short Swap  | 
 SHORT  | 
 64,186  | 
 GBP 1.37  | 
| 
 Short Swap  | 
 SHORT  | 
 214,751  | 
 GBP 1.36  | 
| 
 (c) Options transactions in respect of existing securities  | 
| 
 Product name  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type, e.g.  | 
 Expiry  | 
 Option  | 
| 
 selling,  | 
 securities under  | 
 price  | 
 American,  | 
 date  | 
 money  | 
| 
 eg call option  | 
 purchasing,  | 
 option  | 
 European etc  | 
 paid/received  | 
| 
 varying etc.  | 
 per unit  | 
| 
 (ii) Exercising  | 
| 
 Product name  | 
 Number of securities under  | 
 Exercise price  | 
| 
 eg call option  | 
 option  | 
| 
 3. 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.  | 
| 
 NONE  | 
| 
 Date of disclosure  | 
 04/08/2009  | 
| 
 Contact name  | 
 Bhavika Mistry  | 
| 
 Telephone number  | 
 +44 207 995 4747  | 
| 
 Name of offeree/offeror with whom connected  | 
 National Express Group Plc  | 
| 
 Nature of connection #  | 
 Advisor  | 
| 
 FORM 38.5(a)  | 
| 
 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS  | 
| 
 WITH RECOGNISED INTERMEDIARY STATUS  | 
| 
 DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 (Rule 38.5(a) of the Takeover Code))  | 
| 
 1. KEY INFORMATION  | 
| 
 Name of exempt principal trader  | 
 Merrill Lynch International  | 
| 
 Company dealt in  | 
 SEGRO PLC  | 
| 
 Class of relevant security to which the  | 
 Common  | 
| 
 dealings being disclosed relate  | 
| 
 Date of dealing  | 
 03/08/2009  | 
| 
 2. DEALINGS  | 
| 
 (a) Purchases and sales  | 
| 
 Total number of securities  | 
 Highest price paid  | 
 Lowest price paid  | 
| 
 purchased  | 
| 
 Total number of securities sold  | 
 Highest price received  | 
 Lowest price received  | 
| 
 (b) Derivatives transactions (other than options)  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Long Swap  | 
 LONG  | 
 25,776  | 
 GBP 2.75  | 
| 
 Long Swap  | 
 LONG  | 
 4,100  | 
 GBP 2.79  | 
| 
 Product name,  | 
 Short/Long  | 
 Number of securities  | 
 Price per unit  | 
| 
 eg. CFD  | 
| 
 Short Swap  | 
 SHORT  | 
 29,669  | 
 GBP 2.71  | 
| 
 Short Swap  | 
 SHORT  | 
 74,131  | 
 GBP 2.72  | 
| 
 (c) Options transactions in respect of existing securities  | 
| 
 Product name  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type, e.g.  | 
 Expiry  | 
 Option  | 
| 
 selling,  | 
 securities under  | 
 price  | 
 American,  | 
 date  | 
 money  | 
| 
 eg call option  | 
 purchasing,  | 
 option  | 
 European etc  | 
 paid/received  | 
| 
 varying etc.  | 
 per unit  | 
| 
 (ii) Exercising  | 
| 
 Product name  | 
 Number of securities under  | 
 Exercise price  | 
| 
 eg call option  | 
 option  | 
| 
 3. 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.  | 
| 
 NONE  | 
| 
 Date of disclosure  | 
 04/08/2009  | 
| 
 Contact name  | 
 Bhavika Mistry  | 
| 
 Telephone number  | 
 +44 207 995 4747  | 
| 
 Name of offeree/offeror with whom connected  | 
 SEGRO PLC  | 
| 
 Nature of connection #  | 
 Advisor  | 
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