19th Feb 2008 10:15
Citigroup GM Australia Pty Ltd19 February 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 LimitedCompany dealt in Rio Tinto LtdClass of relevant security to which the Ord/Equitydealings being disclosed relate (Note 1) Date of dealing 18 February 2008 2. INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE (a) Interests and short positions (following dealing) in the class ofrelevant security dealt in (Note 2) Long Short Number Number (%) (%) (1) Relevant securities 525,124 489,072 (0.11%) (0.11%) (2) Derivatives (other than options) (0.00%) (0.00%) (3) Options and agreements to purchase/sell 862,322 1,936,808 (0.19%) (0.42%) Total 1,387,446 2,425,880 (0.30%) (0.53%) (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) 5466 135.1100 4000 135.0000 3216 134.0000 3088 134.7500 3069 135.1100 3028 134.9100 1499 134.6400 1271 135.1000 1271 134.7900 1126 135.1100 988 134.8900 853 135.1000 745 134.8900 654 135.1100 617 135.1100 529 134.0000 491 135.0000 486 134.9900 459 134.7700 444 135.0300 418 135.1000 332 134.0000 273 135.1500 248 133.8900 248 134.1700 199 134.0200 144 134.8900 120 134.8900 110 135.0000 83 135.2100 78 135.1600 72 134.6400 62 134.0000 55 134.9900 50 135.0000 22 134.9900 16 134.9900 16 134.9900 3 134.8900 1 134.1500 1 135.2900 1 135.3800 1 135.0700 1 134.9900 1 135.1300 1 135.1300 1 135.0400 1 135.0400 1 134.9900 1 134.9900 1 134.9900 1 134.9900 1 135.1000 1 135.1000 1 135.1000 1 135.1000 1 135.1000 1 135.1000 1 134.7900 1 134.6500 1 134.6400 1 134.5900 1 134.5400 1 134.2400 1 134.2300Total 35,875 Sales Number of securities Price per unit (Note 4) AUD (unless stated) -1 133.9000 -1 135.3200 -1 135.3200 -1 134.9000 -1 134.9000 -1 135.1100 -1 135.1100 -1 135.0300 -1 135.0300 -1 134.8000 -1 134.8100 -1 134.8200 -1 134.8400 -1 134.9400 -1 134.9400 -1 134.9500 -1 135.0100 -1 135.0100 -1 135.0100 -1 134.7800 -1 134.5300 -1 134.5300 -1 134.5300 -1 134.5300 -1 134.1000 -1 134.1000 -62 134.0000 -78 134.1900 -221 135.0500 -244 134.8400 -248 133.8900 -273 135.1500 -300 134.1400 -337 134.9400 -348 134.0000 -444 135.0300 -705 135.0800 -1244 134.2500 -1271 135.1700 -1271 135.1000 -1271 135.1000 -1271 134.8000 -1271 134.6000 -1571 134.6581 -4634 134.0000 -5273 135.3708 -5466 135.1100 -5466 135.1100 -25383 131.3049Total 58,678 (b) Derivatives transactions (other than options) Product name, Long/short (Note 5) Number of securities (Note 6) Price per unit (Note 4) e.g. CFD (c) Options transactions in respect of existing securities (i) Writing, selling, purchasing or varying Product name, Writing, Number of Exercise Type, e.g. Expiry Option money selling, securities to American,e.g. call option purchasing, which the option Price (AUD) European etc. date paid/received varying etc. relates (Note 6) per unit (AUD)(C = call (Note 4)option; P = put option) C purchasing 1200 100 E 20080528 9.21 C purchasing 300 59 A 20080423 76.05 C selling -1200 106 E 20080528 8.04 C selling -1280 103 E 20080528 8.81 (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 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. NONE Is a Supplemental Form 38.5(b) attached? (Note 8) YES Date of disclosure 19 January 2008 Contact name Pavla Trskova Telephone number 02890 409544 Name of offeree/offeror with which connected BHP Billiton plcNature 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 atwww.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, Written or Number of Exercise price Type, e.g. Expiry date purchased securities to which (Note 2) American, Europeane.g. call option the option or etc. derivative relates P written 200000 88 A 20080327 P written 100000 90 A 20080327 P written 100000 132 A 20080925 P written 50979 56.1501 A 20101011 P written 50000 112 A 20080327 C purchased 50000 132 A 20080228 C purchased 50000 130 A 20080327 P written 40000 74.25 E 20110727 P written 30588 56.0324 E 20081103 C purchased 29000 138 A 20080327 P written 25000 108 A 20080228 C purchased 15000 112 A 20080327 P written 7517 116.82 A 20120711 P written 6789 94.91 A 20110623 P written 6646 37.6132 E 20091001 P written 6415 77.94 E 20100219 P written 6268 88.6 A 20120327 P written 5906 119.75 A 20120628 P written 5780 109.19 A 20120530 P written 5428 92.64 A 20110624 P written 4886 97.272 A 20120828 P written 4420 88.07 A 20110623 P written 4320 99.12 A 20120425 P written 3828 115.61 A 20120613 P written 3801 96.12 A 20110623 P written 3468 164.66 A 20121227 P written 3105 99.8 A 20110428 P written 2994 85.04 A 20110328 P written 2862 119 A 20120711 P written 2591 38.5842 E 20091201 P written 2269 44.0766 E 20080630 P written 2248 73.8533 A 20101229 P written 2024 98.79 E 20100629 C purchased 2000 78.46 A 20090924 C purchased 2000 126 A 20080327 P written 1976 160.932 A 20121128 P written 1792 153.6 A 20130107 P written 1370 85.0735 A 20110228 P written 1273 78.5 E 20110630 P written 1188 105.3 A 20110523 P written 1152 43.3704 E 20100628 P written 1152 43.3704 E 20100628 P written 1132 83.22 A 20111007 P written 1037 43.3704 E 20080627 C purchased 1000 106 A 20080626 P written 1000 112 A 20080228 P written 869 89.4361 A 20110207 P written 765 43.9589 E 20080630 P written 700 103.7 A 20120515 P written 561 89 E 20100809 P written 514 77.8 E 20090630 P written 464 95.75 E 20100629 P written 454 44.0766 E 20080630 P written 405 98.1 A 20100625 P written 400 131.96 A 20130205 P written 392 131.14 A 20121011 P written 388 77.2 E 20110627 P written 337 29.61 E 20080625 P written 332 75.22 E 20100524 P written 302 82.55 E 20100517 P written 290 95.75 E 20100628 P written 266 94.08 A 20110728 P written 254 78.6 E 20110707 P written 236 84.55 E 20110509 P written 208 95.7 E 20120905 P written 208 95.7 E 20120905 P written 203 98.22 E 20120912 P written 203 98.22 E 20120912 P written 191 78.5 E 20110630 P written 191 78.5 E 20110630 P written 159 94.02 A 20110728 P written 141 93.6 A 20110728 P written 138 92.66 A 20110728 P written 117 128.71 A 20110224 P written 115 130.34 A 20121220 P written 81 124.35 A 20130228 P written 79 127.31 A 20130228 P written 78 128.75 A 20130228 P written 77 129.41 A 20121220 C written -200 65 A 20081127 P purchased -203 98.22 E 20120912 P purchased -208 95.7 E 20120905 C written -900 110 A 20081218 P purchased -1000 94 A 20080626 P purchased -2000 77 A 20111222 C written -2000 70 A 20080327 C written -2270 42.5 A 20080623 C written -2500 100 A 20080626 C written -2700 59 A 20080423 C written -3400 100 E 20080528 C written -4240 103 E 20080528 P purchased -5000 68 A 20101223 C written -6493 54.3931 A 20120628 C written -6894 64 A 20090619 P purchased -10000 130 A 20080327 C written -10000 130 A 20080228 P purchased -10000 100 A 20080626 P purchased -15000 80 A 20080327 P purchased -16000 124 A 20080626 P purchased -17000 126 A 20080626 P purchased -18000 74 A 20080626 C written -21720 100 A 20080327 C written -23080 106 E 20080528 P purchased -25000 124 A 20080228 C written -26000 160 A 20080327 C written -33000 85 A 20111222 P purchased -44000 72 A 20081218 C written -50000 122 A 20081218 C written -50000 150 A 20080626 C written -50000 128 A 20080327 P purchased -60000 80 A 20111222 C written -75000 56.89 A 20090924 C written -75000 144 A 20080327 P purchased -76000 75 A 20111222 P purchased -93000 100 A 20080327 P purchased -100000 94 A 20080327 C written -100000 104 A 20080327 P purchased -100000 84 A 20080327 P purchased -100000 110 A 20080327 P purchased -100000 96 A 20080327 P purchased -100000 132 A 20080327 P purchased -112000 68.66 A 20090924 C written -145000 90 A 20080626 P purchased -242000 78.46 A 20090924 Notes 1. Where there are open option positions or open derivative positions (exceptfor CFDs), full details should be given. Full details of any existingagreements 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 38.5and their Notes which can be viewed on the Takeover Panel's website atwww.thetakeoverpanel.org.uk This information is provided by RNS The company news service from the London Stock ExchangeRelated Shares:
Rio Tinto