FORM 38.5 (b)
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DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS
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WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RI STATUS
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BUT NOT DEALING IN A CLIENT-SERVING CAPACITY
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(Rule 38.5(b) of the Takeover Code)
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1. KEY INFORMATION
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Name of exempt principal trader
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Credit Suisse Sydney branch
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Company dealt in
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BHP Billiton Limited
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Class of relevant security to which the dealings being disclosed relate (Note 1)
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Ordinary Shares
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Date of dealing
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4-06-08
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|
|
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2. INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE
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(a) Interests and short positions (following dealing) in the class of relevant security dealt in (Note 2)
|
|
Long
|
Short
|
|
Number
|
(%)
|
Number
|
(%)
|
(1) Relevant securities
|
2,069,299
|
0.062
|
7,955,720
|
0.236
|
(2) Derivatives (other than options)
|
|
|
|
|
(3) Options and agreements to purchase/sell
|
2,899,000
|
0.085
|
5,265,000
|
0.156
|
Total
|
4,968,299
|
0.147
|
13,220,720
|
0.394
|
|
|
|
|
|
|
|
|
(b) Interests and short positions in relevant securities of the company, other than the class dealt in (Note 2)
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Class Of Relevant Security
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Long
|
Short
|
(1) Relevant Securities
|
|
|
(2) Derivatives (other than options)
|
|
|
(3) Options and agreements to purchasesell
|
|
|
Total
|
|
|
|
|
|
(c) Rights to subscribe (Note 2)
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Class of relevant security:
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Details
|
|
|
|
|
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3. DEALINGS (Note 3)
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(a) Purchases and sales
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Purchase/sale
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Number of securities
|
Price per unit (Note 4) (AUD)
|
Sale
|
-968
|
44.30
|
Sale
|
-41
|
44.30
|
Sale
|
-3
|
44.30
|
Sale
|
-988
|
44.30
|
Sale
|
-2,703
|
44.70
|
Sale
|
-44
|
44.68
|
Sale
|
-22
|
44.68
|
Sale
|
-2,000
|
44.52
|
Sale
|
-1,000
|
44.59
|
Sale
|
-1,000
|
44.59
|
Sale
|
-74
|
44.55
|
Sale
|
-771
|
44.55
|
Sale
|
-3
|
44.55
|
Sale
|
-327
|
44.55
|
Sale
|
-300
|
44.55
|
Sale
|
-64
|
44.56
|
Sale
|
-400
|
44.56
|
Sale
|
-61
|
44.56
|
Sale
|
-304
|
44.68
|
Sale
|
-630
|
44.68
|
Sale
|
-1,000
|
44.70
|
Sale
|
-12
|
44.70
|
Sale
|
-137
|
44.70
|
Sale
|
-374
|
44.70
|
Sale
|
-770
|
44.70
|
Sale
|
-4
|
44.70
|
|
|
Total Buys:0
Total Sells:14000
|
(b) Derivatives transactions (other than options)
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Product name, e.g. CFD
|
Long/short (Note 5)
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Number of securities (Note 6)
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Price per unit (Note 4)
|
|
|
|
|
|
|
|
(c) Options transactions in respect of existing securities
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(i) Writing, selling, purchasing or varying
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Product name,e.g. call option
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Writing, selling, purchasing, varying etc.
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Number of securities to which the option relates (Note 6)
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Exercise price
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Type, e.g. American, European etc.
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Expiry date
|
Option money paid/received per unit (Note 4)
|
|
|
|
|
|
|
|
|
|
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(ii) Exercising
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Product name, e.g. call option
|
Number of securities
|
Exercise price per unit (Note 4)
|
|
|
|
(d) Other dealings (including new securities) (Note 3)
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Nature of transaction (Note 7)
|
Details
|
Price per unit (if applicable) (Note 4)
|
|
|
|
|
|
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4. OTHER INFORMATION
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Agreements, arrangements or understandings relating to options or derivatives
Product Description
|
Written/Purchased
|
No. of Securities
|
Exercise Price
|
Type
|
Expiry Date
|
Call Option
|
PURCHASED
|
50,000
|
18.00
|
American
|
Jul 24 2008
|
Call Option
|
PURCHASED
|
550,000
|
31.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
200,000
|
32.00
|
American
|
Jan 29 2009
|
Call Option
|
PURCHASED
|
100,000
|
32.00
|
American
|
Jul 24 2008
|
Call Option
|
PURCHASED
|
100,000
|
35.00
|
American
|
Jul 24 2008
|
Call Option
|
PURCHASED
|
100,000
|
37.00
|
American
|
Sep 25 2008
|
Call Option
|
PURCHASED
|
28,000
|
40.00
|
American
|
Sep 25 2008
|
Call Option
|
PURCHASED
|
91,000
|
41.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
2,000
|
41.00
|
American
|
Sep 25 2008
|
Call Option
|
PURCHASED
|
35,000
|
42.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
51,000
|
43.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
200,000
|
44.00
|
American
|
Mar 25 2010
|
Call Option
|
PURCHASED
|
53,000
|
45.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
52,000
|
46.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
28,000
|
47.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
50,000
|
50.00
|
American
|
Dec 18 2008
|
Call Option
|
PURCHASED
|
2,000
|
50.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
25,000
|
55.00
|
American
|
Jun 25 2009
|
Call Option
|
PURCHASED
|
2,000
|
55.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
50,000
|
56.00
|
American
|
Sep 25 2008
|
Call Option
|
PURCHASED
|
10,000
|
60.00
|
American
|
Jan 29 2009
|
Call Option
|
PURCHASED
|
50,000
|
60.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
66,000
|
38.50
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
35,000
|
49.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
1,000
|
52.00
|
American
|
Jun 26 2008
|
Call Option
|
PURCHASED
|
10,000
|
52.00
|
American
|
Sep 25 2008
|
Call Option
|
PURCHASED
|
50,000
|
57.00
|
American
|
Sep 25 2008
|
Call Option
|
WRITTEN
|
1,000,000
|
0.01
|
American
|
Jul 24 2008
|
Call Option
|
WRITTEN
|
2,284,000
|
0.01
|
American
|
Jun 26 2008
|
Call Option
|
WRITTEN
|
80,000
|
37.00
|
American
|
Jun 26 2008
|
Call Option
|
WRITTEN
|
200,000
|
38.00
|
American
|
Jun 26 2008
|
Call Option
|
WRITTEN
|
55,000
|
39.00
|
American
|
Dec 18 2008
|
Call Option
|
WRITTEN
|
100,000
|
40.00
|
American
|
Jun 26 2008
|
Call Option
|
WRITTEN
|
50,000
|
44.00
|
American
|
Jun 26 2008
|
Call Option
|
WRITTEN
|
170,000
|
46.00
|
American
|
Dec 18 2008
|
Call Option
|
WRITTEN
|
300,000
|
50.00
|
American
|
Jun 25 2009
|
Call Option
|
WRITTEN
|
52,000
|
50.00
|
American
|
Mar 25 2010
|
Put Option
|
PURCHASED
|
75,000
|
18.00
|
American
|
Jul 24 2008
|
Put Option
|
PURCHASED
|
250,000
|
19.50
|
American
|
Jul 24 2008
|
Put Option
|
PURCHASED
|
150,000
|
22.00
|
American
|
Jul 24 2008
|
Put Option
|
PURCHASED
|
1,000
|
30.00
|
American
|
Sep 25 2008
|
Put Option
|
PURCHASED
|
66,000
|
34.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
50,000
|
34.00
|
American
|
Sep 25 2008
|
Put Option
|
PURCHASED
|
75,000
|
35.00
|
American
|
Aug 28 2008
|
Put Option
|
PURCHASED
|
25,000
|
37.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
100,000
|
37.00
|
American
|
Sep 25 2008
|
Put Option
|
PURCHASED
|
8,000
|
40.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
10,000
|
42.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
9,000
|
43.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
5,000
|
46.00
|
American
|
Jun 26 2008
|
Put Option
|
PURCHASED
|
50,000
|
50.00
|
American
|
Jun 25 2009
|
Put Option
|
PURCHASED
|
100,000
|
50.00
|
American
|
Mar 26 2009
|
Put Option
|
WRITTEN
|
200,000
|
24.00
|
American
|
Jul 24 2008
|
Put Option
|
WRITTEN
|
250,000
|
30.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
4,000
|
31.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
50,000
|
35.00
|
American
|
Jul 24 2008
|
Put Option
|
WRITTEN
|
3,000
|
35.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
6,000
|
36.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
4,000
|
38.00
|
American
|
Dec 18 2008
|
Put Option
|
WRITTEN
|
1,000
|
38.00
|
American
|
Jul 24 2008
|
Put Option
|
WRITTEN
|
205,000
|
38.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
22,000
|
39.00
|
American
|
Dec 18 2008
|
Put Option
|
WRITTEN
|
50,000
|
39.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
50,000
|
41.00
|
American
|
Sep 25 2008
|
Put Option
|
WRITTEN
|
5,000
|
43.00
|
American
|
Sep 25 2008
|
Put Option
|
WRITTEN
|
2,000
|
45.00
|
American
|
Jun 26 2008
|
Put Option
|
WRITTEN
|
56,000
|
47.00
|
American
|
Jun 26 2008
|
|