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EPT Disclosure

18th Jul 2008 12:03

RNS Number : 3985Z
Citigroup GM Australia Pty Ltd
18 July 2008
 
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 INFORMATION
 
Name of exempt principal trader
Citigroup Global Markets Australia Pty Limited
Company dealt in
Rio Tinto Ltd
Class of relevant security to which the dealings being disclosed relate(Note 1)
Ord/Equity
Date of dealing
17 July 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
 
251,911 (0.06%)
256,801 (0.06%)
(2) Derivatives (other than options)
 
(0.00%)
(0.00%)
(3) Options and agreements to purchase/sell
 
824,481 (0.18%)
1,191,634 (0.26%)
Total
 
1,076,392 (0.24%)
1,448,435 (0.32%)
 
(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
Convertible
 
Number (%)
Number (%)
(1) Relevant securities
 
(0.00%)
(0.00%)
(2) Derivatives (other than options)
 
(0.00%)
(0.00%)
(3) Options and agreements to purchase/sell
 
(0.00%)
(0.00%)
Total
 
(0.00%)
(0.00%)
 

 

(c) Rights to subscribe (Note 2)
 
Class of relevant security:
 
Details
 
 
 
 
3. DEALINGS (Note 3)
 
(a) Purchases and sales
 
Purchase
 
Number of securities
Price per unit (Note 4)
AUD (unless stated)
 
2991
117.46
 
1877
117.97
 
1825
116.5
 
1700
117.7
 
1308
118
 
1000
118
 
522
116.5
 
505
117.96
 
499
116.5
 
250
117
 
241
117.97
 
237
116.95
 
202
116.62
 
185
117.99
 
168
117.99
 
128
117.97
 
110
116.5
 
110
117.97
 
109
116.96
 
101
117.38
 
100
117.99
 
96
117.54
 
96
117.54
 
92
117.49
 
92
117.51
 
89
117.47
 
87
116.89
 
82
117.5
 
78
116.95
 
78
117.41
 
69
116.96
 
61
117.99
 
57
117.51
 
56
117.42
 
50
117
 
48
117.97
 
46
117.01
 
44
116.5
 
23
116.95
 
23
116.96
 
23
116.96
 
19
117.99
 
19
117.38
 
15
117.36
 
15
117.42
 
15
117.36
 
15
117.54
 
15
117.54
 
14
117.51
 
12
117.41
 
6
117.99
 
5
116.96
 
1
117.97
 
1
117.99
 
1
117.82
 
1
117.82
 
1
117.61
 
1
117.42
 
1
117.42
 
1
117.41
 
1
117.42
 
1
117.42
 
1
117.43
 
1
117.43
 
1
117.37
 
1
117.37
 
1
117.38
 
1
117.48
 
1
117.56
 
1
117.56
 
1
117.55
Total
15,627
 
 
 
Sales
 
Number of securities
Price per unit (Note 4)
AUD (unless stated)
 
-1
118
 
-1
117.48
 
-1
117.87
 
-1
117.82
 
-1
117.72
 
-1
117.61
 
-1
117.42
 
-1
117.42
 
-1
117.39
 
-1
117.39
 
-1
117.39
 
-1
117.39
 
-1
117.39
 
-1
117.37
 
-1
117.37
 
-1
117.37
 
-1
117.48
 
-1
117.52
 
-1
117.53
 
-1
117.55
 
-4
117.52
 
-5
118
 
-5
116.96
 
-7
117.54
 
-8
117.8
 
-8
117.54
 
-11
117.87
 
-11
117.51
 
-12
117.41
 
-14
117.6
 
-14
118.01
 
-14
117.55
 
-15
118
 
-15
117.36
 
-15
117.39
 
-15
117.36
 
-15
117.54
 
-21
118
 
-21
118.01
 
-23
116.95
 
-23
116.96
 
-23
116.96
 
-29
118
 
-30
118
 
-31
117.52
 
-36
117.48
 
-43
117.48
 
-45
117.93
 
-45
117.54
 
-46
117.01
 
-46
117.51
 
-48
117.48
 
-50
117
 
-51
117.54
 
-56
117.39
 
-57
117.51
 
-60
117.93
 
-66
117.6
 
-69
116.96
 
-70
118.01
 
-78
116.95
 
-78
117.41
 
-80
118
 
-82
117.5
 
-87
116.89
 
-89
117.47
 
-92
117.49
 
-96
117.54
 
-97
117.89
 
-100
117.93
 
-100
118
 
-108
117.48
 
-109
116.96
 
-119
117.48
 
-120
117.38
 
-125
117.48
 
-184
116.62
 
-200
118
 
-200
117.48
 
-201
118
 
-212
117.8
 
-237
116.95
 
-249
117.6
 
-250
117
 
-305
117.93
 
-356
118
 
-356
118
 
-400
118
 
-407
117.48
 
-460
117.93
 
-500
117.6
 
-500
118
 
-500
118
 
-504
118
 
-583
117.6
 
-588
117.6
 
-595
117.48
 
-597
116.62
 
-621
117.48
 
-938
117.87
 
-970
117.89
 
-974
116.62
 
-1000
117.48
 
-1077
118
 
-1500
118
 
-1592
118
 
-1646
118
 
-1780
117.8
 
-2000
117.87
 
-2050
117.87
 
-2991
117.46
 
-4000
118
 
-5000
118
 
-5000
118
Total
44,280
 
 
 (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
 
Product name,
e.g. call option
(C = call option;
 P = put option)
Writing, selling, purchasing, varying etc.
Number of securities to which the option relates (Note 6)
Exercise
Price (AUD)
Type, e.g. American, European etc.
Expiry
date
Option money
paid/received per unit (AUD) (Note 4)
C
purchasing
1000
64
A
20090619
60.65
C
purchasing
1000
64
A
20090619
60.49
C
purchasing
900
64
A
20090619
60.63
C
purchasing
100
64
A
20090619
60.48
C
purchasing
35
64
A
20090619
60.63
P
purchasing
-15000
120
A
20081030
10.74
P
selling
15000
128
A
20080724
10.24
C
selling
-235
60
A
20130627
81.55
C
selling
-600
66
E
20091215
66.77
C
selling
-1000
60
A
20130627
82.31
C
selling
-1000
60
A
20130627
82.31
C
selling
-3000
64
A
20090619
60.74
 
(ii) Exercising
 
Product 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
 
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
 
 
 
Is a Supplemental Form 38.5(b) attached? (Note 8) YES
 
 
Date of disclosure
18 July 2008
Contact name
Pavla Trskova
Telephone number
02890 409544
Name of offeree/offeror with which connected
BHP Billiton plc
Nature of connection (Note 9)
Corporate Broker/Financial 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 derivative relates
Exercise price (Note 2)
 
Type, e.g. American, European etc.
Expiry date
P
purchased
-6646
37.6132
E
20091001
P
purchased
-6415
77.94
E
20100219
P
purchased
-2591
38.5842
E
20091201
P
purchased
-1273
78.5
E
20110630
P
purchased
-1152
43.3704
E
20100628
P
purchased
-1152
43.3704
E
20100628
P
purchased
-561
89
E
20100809
P
purchased
-514
77.8
E
20090630
P
purchased
-464
95.75
E
20100629
P
purchased
-422
138.11
E
20120416
P
purchased
-388
77.2
E
20110627
P
purchased
-332
75.22
E
20100524
P
purchased
-321
155.35
E
20130516
P
purchased
-302
82.55
E
20100517
P
purchased
-290
95.75
E
20100628
P
purchased
-254
78.6
E
20110707
P
purchased
-242000
78.46
A
20090924
P
purchased
-236
84.55
E
20110509
P
purchased
-208
95.7
E
20120905
P
purchased
-203
98.22
E
20120912
P
purchased
-191
78.5
E
20110630
P
purchased
-191
78.5
E
20110630
P
purchased
-150000
138
A
20080925
P
purchased
-140000
110
A
20081218
P
purchased
-133
150.05
E
20130521
P
purchased
-112000
68.66
A
20090924
P
purchased
-100000
136
A
20080925
P
purchased
-71000
75
A
20111222
P
purchased
-57000
80
A
20111222
P
purchased
-44000
72
A
20081218
C
purchased
15000
150
A
20080724
P
purchased
-15000
120
A
20081030
P
purchased
-13000
132
A
20080828
P
purchased
-5000
68
A
20101223
C
purchased
2000
78.46
A
20090924
P
purchased
-2000
77
A
20111222
P
purchased
-1000
128
A
20080724
P
written
5000
124
A
20080724
C
written
-33000
85
A
20111222
P
written
39000
58
A
20080925
C
written
-50000
122
A
20081218
P
written
70000
120
A
20080925
C
written
-70
105
A
20081127
P
written
71
141.69
A
20130627
C
written
-75000
56.89
A
20090924
P
written
77
129.41
A
20121220
P
written
78
128.75
A
20130228
P
written
79
127.31
A
20130228
P
written
81
124.35
A
20130228
P
written
87
143.31
A
20130627
P
written
88
141.79
A
20110630
P
written
88
141.69
A
20110630
P
written
90
139.04
A
20130627
P
written
99
141.75
A
20130627
P
written
100000
132
A
20080925
P
written
107
139.59
A
20130627
P
written
115
130.34
A
20121220
P
written
117
128.71
A
20110224
P
written
130000
60
A
20080925
P
written
133
150.05
E
20130521
P
written
133
150.05
E
20130521
P
written
138
92.66
A
20110728
P
written
140000
130
A
20081218
P
written
141
93.6
A
20110728
P
written
159
94.02
A
20110728
P
written
160
131.2
A
20130328
C
written
-175
88
E
20091215
P
written
177
140.36
A
20130627
P
written
191
78.5
E
20110630
P
written
191
78.5
E
20110630
P
written
191
78.5
E
20110630
P
written
191
78.5
E
20110630
C
written
-200
65
A
20081127
P
written
203
98.22
E
20120912
P
written
203
98.22
E
20120912
P
written
208
95.7
E
20120905
P
written
208
95.7
E
20120905
P
written
236
84.55
E
20110509
P
written
236
84.55
E
20110509
P
written
254
78.6
E
20110707
P
written
254
78.6
E
20110707
P
written
266
94.08
A
20110728
P
written
268
135.22
A
20110412
P
written
290
95.75
E
20100628
P
written
290
95.75
E
20100628
P
written
296
135.38
A
20130725
P
written
302
82.55
E
20100517
P
written
302
82.55
E
20100517
P
written
321
155.35
E
20130516
P
written
321
155.35
E
20130516
P
written
330
136.18
A
20130627
P
written
332
75.22
E
20100524
P
written
332
75.22
E
20100524
P
written
365
137
A
20130328
P
written
388
77.2
E
20110627
P
written
388
77.2
E
20110627
P
written
392
131.14
A
20121011
P
written
400
131.96
A
20130205
P
written
405
98.1
A
20100625
P
written
422
138.11
E
20120416
P
written
422
138.11
E
20120416
P
written
464
95.75
E
20100629
P
written
464
95.75
E
20100629
P
written
514
77.8
E
20090630
P
written
514
77.8
E
20090630
P
written
561
89
E
20100809
P
written
561
89
E
20100809
P
written
725
138
A
20130228
P
written
869
89.4361
A
20110207
P
written
873
137.5
A
20130725
C
written
-6000
120
E
20080828
P
written
1132
83.22
A
20111007
P
written
1152
43.3704
E
20100628
P
written
1152
43.3704
E
20100628
P
written
1152
43.3704
E
20100628
P
written
1152
43.3704
E
20100628
P
written
1188
105.3
A
20110523
P
written
1273
78.5
E
20110630
P
written
1273
78.5
E
20110630
P
written
1370
85.0735
A
20110228
P
written
1592
153.6
A
20130107
C
written
-1698
66
E
20091215
P
written
1936
174.48
A
20130521
P
written
1976
160.932
A
20121128
P
written
2248
73.8533
A
20101229
C
written
-2491
85
A
20100623
P
written
2591
38.5842
E
20091201
P
written
2591
38.5842
E
20091201
P
written
2862
119
A
20120711
P
written
2994
85.04
A
20110328
C
written
-3000
110
A
20081218
C
written
-18000
140
E
20080828
P
written
3105
99.8
A
20110428
P
written
3188
115.61
A
20120613
P
written
3388
164.66
A
20121227
P
written
3801
96.12
A
20110623
C
written
-4235
60
A
20130627
P
written
4320
99.12
A
20120425
P
written
4420
88.07
A
20110623
P
written
4886
97.272
A
20120828
P
written
30000
135
E
20080828
P
written
5066
109.19
A
20120530
P
written
5428
92.64
A
20110624
P
written
5810
119.75
A
20120628
P
written
36000
115
E
20080828
P
written
6268
88.6
A
20120327
P
written
6415
77.94
E
20100219
P
written
6415
77.94
E
20100219
C
written
-6437
64
A
20090619
P
written
6528
116.82
A
20120711
P
written
6646
37.6132
E
20091001
P
written
6646
37.6132
E
20091001
P
written
6789
94.91
A
20110623
C
written
-15089
59.365
A
20120628
P
written
30588
56.0324
E
20081103
P
written
40000
74.25
E
20110727
P
written
50979
56.1501
A
20101011
 
 
 
 
 
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
 
 
EMMFKFKKDBKDDOD

Related Shares:

Rio Tinto
FTSE 100 Latest
Value8,667.16
Change33.41