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EPT Disclosure

18th Dec 2008 10:26

RNS Number : 3817K
UBS AG (EPT)
18 December 2008
 



 

DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 

WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RI STATUS

BUT NOT DEALING IN A CLIENTSERVING CAPACITY

(Rule 38.5(b) of the Takeover Code)

1. KEY INFORMATION

Name of exempt principal trader

UBS Securities Australia Limited

Company dealt in

QANTAS AIR

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

Ordinary

Date of dealing

17 December 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 

3596570

0.18%

30700

0.00%

(2) Derivatives (other than options)

(3) Options and agreements to purchase/sell

5424806

0.28%

2406544

0.12%

Total

9021376

0.46%

 

2437244

0.13%

(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

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)

(a) Purchases and sales

Purchases/Sales

Number of securities

Price per unit (AUD) (Note 4)

Purchase

5000

3

Purchase

2636

2.31

Purchase

2632

2.33

Purchase

1433

2.27

Purchase

1212

2.35

Purchase

1104

2.35

Purchase

784

2.3

Purchase

689

2.31

Purchase

689

2.32

Purchase

689

2.33

Purchase

689

2.34

Purchase

689

2.33

Purchase

689

2.32

Purchase

689

2.32

Purchase

689

2.31

Purchase

689

2.34

Purchase

661

2.3

Purchase

660

2.31

Purchase

660

2.31

Purchase

660

2.31

Purchase

660

2.3

Purchase

658

2.3

Purchase

536

2.3

Purchase

460

2.33

Purchase

460

2.34

Purchase

460

2.31

Purchase

460

2.33

Purchase

460

2.34

Purchase

460

2.32

Purchase

460

2.34

Purchase

460

2.34

Purchase

460

2.34

Purchase

460

2.33

Purchase

460

2.34

Purchase

460

2.32

Purchase

460

2.34

Purchase

460

2.35

Purchase

460

2.35

Purchase

460

2.33

Purchase

460

2.34

Purchase

460

2.34

Purchase

460

2.34

Purchase

460

2.33

Purchase

460

2.34

Purchase

460

2.31

Purchase

460

2.29

Purchase

460

2.34

Purchase

460

2.34

Purchase

459

2.35

Purchase

419

2.34

Purchase

308

2.26

Purchase

287

2.3

Purchase

273

2.3

Purchase

230

2.31

Purchase

230

2.33

Purchase

230

2.31

Purchase

230

2.34

Purchase

230

2.35

Purchase

230

2.33

Purchase

230

2.33

Purchase

230

2.31

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.33

Purchase

230

2.32

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.35

Purchase

230

2.34

Purchase

230

2.33

Purchase

230

2.33

Purchase

230

2.31

Purchase

230

2.32

Purchase

230

2.33

Purchase

230

2.33

Purchase

230

2.35

Purchase

230

2.33

Purchase

230

2.35

Purchase

230

2.31

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.35

Purchase

230

2.32

Purchase

230

2.34

Purchase

230

2.36

Purchase

230

2.34

Purchase

230

2.32

Purchase

230

2.31

Purchase

230

2.32

Purchase

230

2.31

Purchase

230

2.31

Purchase

230

2.34

Purchase

230

2.35

Purchase

230

2.34

Purchase

230

2.34

Purchase

230

2.33

Purchase

187

2.35

Purchase

100

2.3

Purchase

43

2.35

Purchase

41

2.34

Purchase

16

2.26

Purchase

2

2.29

Purchase

1

2.31

Purchase

1

2.35

Sale

16

2.26

Sale

308

2.26

Sale

689

2.31

Total Purchase

49944

Total Sale

1013

(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 varying

(ii) Exercising

Product name, e.g. call option

Written or purchased

Number of securities to which the option or derivatives relates

Exercise price (AUD) (Note2)

Type, e.g. American, European etc.

Expiry date

Option money paid/received per unit (Note 4)

Put Option

Purchasing

5000

3

American

18-Dec-08

0

(d) Other dealings (including new securities) (Note 3)

Nature of transaction (Note 7)

Details

Price per unit (if applicable) (Note 4)

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

18 December 2008

Contact name

Ann Tran

Telephone number

+612 9324 3652

Name of offeree/offeror with which connected

BRITISH AIRWAYS

Nature of connection (Note 9)

Connected Advisor

Notes

The Notes on Form 38.5(b) can be viewed on the Takeover Panel's website at www.thetakeoverpanel.org.uk

SUPPLEMENTAL FORM 38.5(b)

DETAILS OF OPEN POSITIONS 

(This form should be attached to Form 38.5(b))

OPEN POSITIONS (Note 1)

Product name, e.g. call option

Written or purchased

Number of securities to which the option or derivatives relates

Exercise price (AUD) (Note2)

Type, e.g. American, European etc.

Expiry date

Call Option

Purchased

1000000

4

26-Mar-09

American

Call Option

Purchased

735735

3.65

23-Dec-10

American

Call Option

Purchased

600000

0

18-Dec-08

European

Call Option

Purchased

444000

4

18-Dec-08

American

Call Option

Purchased

370000

3.5

18-Dec-08

American

Call Option

Purchased

370000

3

28-May-09

American

Call Option

Purchased

314000

3.75

26-Mar-09

American

Call Option

Purchased

200000

4.5

18-Dec-08

American

Call Option

Purchased

189000

3.5

24-Sep-09

American

Call Option

Purchased

171000

3.75

24-Sep-09

American

Call Option

Purchased

150000

3.75

18-Dec-08

American

Call Option

Purchased

100000

2.75

26-Mar-09

American

Call Option

Purchased

100000

2.75

29-Jan-09

American

Call Option

Purchased

20764

4.52

21-Jun-13

European

Call Option

Purchased

20559

4.56

23-Jun-11

European

Call Option

Purchased

18503

4.56

27-Jun-11

European

Call Option

Purchased

18442

4.58

23-Jun-11

European

Call Option

Purchased

16000

2.5

26-Mar-09

American

Call Option

Purchased

10097

4.61

23-Jun-11

European

Call Option

Purchased

7669

4.89

24-Jun-13

European

Call Option

Written

5145

3.4

23-Dec-10

American

Call Option

Written

6000

3.25

18-Dec-08

American

Call Option

Written

10000

2.25

29-Jan-09

American

Call Option

Written

10000

2.25

26-Feb-09

American

Call Option

Written

16000

3

18-Dec-08

American

Call Option

Written

20000

2.5

18-Dec-08

American

Call Option

Written

33000

2.25

18-Dec-08

American

Call Option

Written

500000

2.25

26-Mar-09

American

Call Option

Written

600000

0

18-Dec-08

European

Call Warrant

Written

324

2.25

26-May-09

European

Call Warrant

Written

400

2

06-Nov-09

European

Call Warrant

Written

18230

0

30-Jun-14

European

Put Option

Purchased

720300

4.13

23-Dec-10

American

Put Option

Purchased

120000

2.75

24-Feb-11

American

Put Option

Purchased

100000

3.5

26-Feb-09

American

Put Option

Purchased

97000

2.75

26-Feb-09

American

Put Option

Purchased

80000

3.25

24-Sep-09

American

Put Option

Purchased

20000

2.5

26-Feb-09

American

Put Option

Purchased

10000

2.75

18-Dec-08

American

Put Option

Purchased

10000

3.25

26-Feb-09

American

Put Option

Purchased

10000

2.75

29-Jan-09

American

Put Option

Purchased

10000

2.5

29-Jan-09

American

Put Option

Purchased

5145

3.4

23-Dec-10

American

Put Option

Purchased

5000

3

18-Dec-08

American

Put Option

Written

2250

5.55

28-Jun-12

American

Put Option

Written

2675

3.74

23-Jan-09

American

Put Option

Written

3025

3.3

16-Jun-09

American

Put Option

Written

3793

3.29

19-Jun-09

American

Put Option

Written

4084

3.06

24-Jun-13

American

Put Option

Written

6927

2.88

23-Jun-11

American

Put Option

Written

7111

5.62

29-Jul-10

American

Put Option

Written

7285

3.43

24-Jun-09

American

Put Option

Written

7608

3.28

22-Jun-09

American

Put Option

Written

7669

3.26

24-Jun-13

American

Put Option

Written

9245

3.38

07-Jun-11

American

Put Option

Written

10000

3.25

18-Dec-08

American

Put Option

Written

10097

3.07

23-Jun-11

American

Put Option

Written

18442

3.05

23-Jun-11

American

Put Option

Written

18503

3.04

27-Jun-11

American

Put Option

Written

20559

3.04

23-Jun-11

American

Put Option

Written

20764

3.01

21-Jun-13

American

Put Option

Written

43000

2.25

18-Dec-08

American

Put Option

Written

80000

3.75

26-Mar-09

American

Put Option

Written

120000

3.5

18-Dec-08

American

Put Option

Written

166000

3

24-Sep-09

American

Notes

1. Where there are open option positions or open derivative positions (except for CFDs), full details should be given.  Full details of any existing agreements to purchase or to sell should also be given on this form.  

2. For all prices and other monetary amounts, the currency must be stated.

For details of the Code's dealing disclosure requirements, see Rules 8 and 38.5 and their Notes which can be viewed on the Takeover Panel's website at www.thetakeoverpanel.org.uk

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