8th Nov 2007 10:37
Credit Suisse Securities (Eur) Ltd08 November 2007 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 Securities (Europe) LimitedCompany dealt in Standard Life PLCClass of relevant security to which the dealings being Ordinary Sharesdisclosed relate (Note 1)Date of dealing 07-Nov-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 1625294 0.075(2) Derivatives (other than options)(3) Options and agreements to purchase/sellTotal 1625294 0.075 (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)Buy 38502 2.6025 (GBP)Buy 18284 2.6025 (GBP)Buy 18284 2.6025 (GBP)Buy 15296 2.6025 (GBP)Buy 15012 2.61 (GBP)Buy 13362 2.6025 (GBP)Buy 12500 2.605 (GBP)Buy 11023 2.6 (GBP)Buy 10124 2.6 (GBP)Buy 7500 2.645 (GBP)Buy 6856 2.6025 (GBP)Buy 6644 2.645 (GBP)Buy 5312 2.645 (GBP)Buy 4922 2.6025 (GBP)Buy 4425 2.595 (GBP)Buy 3829 2.6025 (GBP)Buy 3175 2.605 (GBP)Buy 2928 2.605 (GBP)Buy 2927 2.605 (GBP)Buy 2906 2.605 (GBP)Buy 2532 2.605 (GBP)Buy 2510 2.605 (GBP)Buy 2507 2.6 (GBP)Buy 1938 2.615 (GBP)Buy 1459 2.605 (GBP)Buy 1248 2.605 (GBP)Buy 1196 2.605 (GBP)Buy 886 2.605 (GBP)Buy 841 2.605 (GBP)Buy 822 2.605 (GBP)Buy 786 2.6075 (GBP)Buy 549 2.605 (GBP)Buy 536 2.605 (GBP)Buy 500 2.6075 (GBP)Buy 500 2.605 (GBP)Buy 500 2.605 (GBP)Buy 459 2.605 (GBP)Buy 407 2.605 (GBP)Buy 388 2.6075 (GBP)Buy 338 2.605 (GBP)Buy 244 2.605 (GBP)Buy 78 2.605 (GBP)Sell 16155 2.59 (GBP)Sell 8000 2.595 (GBP)Sell 7214 2.6075 (GBP)Sell 6463 2.6025 (GBP)Sell 5000 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 4566 2.6025 (GBP)Sell 3575 2.6 (GBP)Sell 3575 2.6 (GBP)Sell 3000 2.59 (GBP)Sell 3000 2.605 (GBP)Sell 2770 2.655 (GBP)Sell 2721 2.59 (GBP)Sell 2721 2.5975 (GBP)Sell 2611 2.5925 (GBP)Sell 2554 2.595 (GBP)Sell 2510 2.6 (GBP)Sell 2510 2.6 (GBP)Sell 2510 2.595 (GBP)Sell 2500 2.6075 (GBP)Sell 2500 2.605 (GBP)Sell 2500 2.6075 (GBP)Sell 2500 2.6075 (GBP)Sell 2500 2.6075 (GBP)Sell 2500 2.605 (GBP)Sell 2500 2.605 (GBP)Sell 2500 2.605 (GBP)Sell 2500 2.605 (GBP)Sell 2500 2.6075 (GBP)Sell 2478 2.605 (GBP)Sell 2288 2.6175 (GBP)Sell 2281 2.6025 (GBP)Sell 2156 2.605 (GBP)Sell 2108 2.6175 (GBP)Sell 2000 2.6175 (GBP)Sell 1800 2.5925 (GBP)Sell 1781 2.6 (GBP)Sell 1684 2.605 (GBP)Sell 1633 2.62 (GBP)Sell 1532 2.6175 (GBP)Sell 1522 2.605 (GBP)Sell 1510 2.66 (GBP)Sell 1477 2.6175 (GBP)Sell 1437 2.615 (GBP)Sell 1322 2.6175 (GBP)Sell 1271 2.6075 (GBP)Sell 1255 2.605 (GBP)Sell 1255 2.5925 (GBP)Sell 1255 2.605 (GBP)Sell 1255 2.5925 (GBP)Sell 1255 2.605 (GBP)Sell 1255 2.595 (GBP)Sell 1255 2.6125 (GBP)Sell 1255 2.595 (GBP)Sell 1255 2.605 (GBP)Sell 1154 2.5925 (GBP)Sell 1000 2.66 (GBP)Sell 1000 2.6 (GBP)Sell 1000 2.59 (GBP)Sell 995 2.655 (GBP)Sell 836 2.6075 (GBP)Sell 745 2.5925 (GBP)Sell 715 2.5925 (GBP)Sell 592 2.605 (GBP)Sell 523 2.6175 (GBP)Sell 471 2.5925 (GBP)Sell 454 2.595 (GBP)Sell 370 2.59 (GBP)Sell 340 2.6025 (GBP)Sell 316 2.605 (GBP)Sell 298 2.605 (GBP)Sell 48 2.605 (GBP)Sell 5 2.6075 (GBP)TOTAL BUYS:225035 TOTAL SELLS:186288(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. call purchasing, varying which the option relates price American, date received per unitoption 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 INFORMATION : Advising Swiss Re. in relation to a potential acquisition of Resolution Group Plc in relationto a potential offer by Standard Life for Resolution Group PlcAgreements, arrangements or understandings relating to options or derivativesFull details of any agreement, arrangement or understanding between the person disclosing and any other person relatingto the voting rights of any relevant securities under any option referred to on this form or relating to the votingrights or future acquisition or disposal of any relevant securities to which any derivative referred to on this form isreferenced. If none, this should be stated. Is a Supplemental Form 38.5(b) attached? (Note 8) No Date of disclosure 08-Nov-2007 09:45:05Contact name Burford,Glenda BTelephone number 44 20 7888 3599Name of offeree/offeror with which connected Standard Life PLCNature of connection (Note 9) ADVISOR NotesThe Notes on Form 38.5(b) can be viewed on the Takeover Panel's website at http://www.thetakeoverpanel.org.uk/. This information is provided by RNS The company news service from the London Stock ExchangeRelated Shares:
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