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EPT Disclosure

23rd Oct 2008 12:04

RNS Number : 5378G
Credit Suisse Sydney Branch
23 October 2008
 

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 INFORMATION 

Name of exempt principal trader

Credit Suisse Sydney branch

Company dealt in

BHP Billiton Limited

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

Ordinary Shares

Date of dealing

22-10-2008

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

2822094

0.084

(2) Derivatives (other than options)

(3) Options and agreements to purchase/sell 

3294000

0.098

Total

2822094

0.084

3294000

0.098

 

(b) Interests and short positions in relevant securities of the company, other than the class dealt in (Note 2) 

Class Of Relevant Security : Ordinary Shares 

Long

Short

(1) Relevant Securities 

 

 

(2) Derivatives (other than options) 

 

 

(3) Options and agreements to purchasesell 

 

 

Total

(c) Rights to subscribe (Note 2) 

Class of relevant security:

Details

 

 

3. DEALINGS (Note 3)

(a) Purchases and sales 

Purchase/sale

Number of securities

Price per unit (Note 4)

Purchase

2,758

27.84

Purchase

333

27.82

Purchase

15

27.82

Purchase

497

27.82

Purchase

5,143

27.81

Purchase

874

27.81

Purchase

380

27.81

Purchase

3,000

35.00

Purchase

5,000

39.00

Sale

-71

27.91

Sale

-3,966

27.87

Sale

-550

27.89

Sale

-5,000

27.90

Sale

-62

27.90

Sale

-350

27.90

Sale

-1

27.91

Sale

-797

27.75

Sale

-45

27.75

Sale

-500

27.75

Sale

-6,117

27.75

Sale

-2,000

27.76

Sale

-281

27.77

Sale

-259

27.77

Sale

-1

27.77

TOTAL BUYS: 18000

TOTAL SELLS: 20000

(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

Writing, selling, purchasing, varying etc.

Number of securities to which the option relates (Note 6)

Exercise price

Type, e.g. American, European etc.

Expiry date

Option money paid/received per unit (Note 4)

PUT OPTION

PURCHASING

5000

39.00

AMERICAN

Dec 18 2008

0

PUT OPTION

SELLING

1000

25.00

AMERICAN

Oct 30 2008

0.33

PUT OPTION

PURCHASING

1000

25.00

AMERICAN

Oct 30 2008

0.35

PUT OPTION

PURCHASING

3000

35.00

AMERICAN

Oct 30 2008

0

(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.

Is a Supplemental Form 38.5(b) attached? (Note 8)  yes

Date of disclosure

23-10-2008

Contact name

Simon Crawley; Philipp Abelbeck

Telephone number

44 20 7888 0241

Name of offeree/offeror with which connected

Rio Tinto Plc

Nature of connection (Note 9)

ADVISOR

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

Product Description

Written/Purchased

No. of Securities

Exercise Price

Type

Expiry Date

Call Option

PURCHASED

1,000

31.00

American

Oct 30 2008

Call Option

PURCHASED

200,000

32.00

American

Jan 29 2009

Call Option

PURCHASED

8,000

32.00

American

Oct 30 2008

Call Option

PURCHASED

25,000

38.00

American

Oct 30 2008

Call Option

PURCHASED

10,000

39.00

American

Oct 30 2008

Call Option

PURCHASED

10,000

43.00

American

Oct 30 2008

Call Option

PURCHASED

100,000

45.00

American

Mar 25 2010

Call Option

PURCHASED

15,000

46.00

American

Oct 30 2008

Call Option

PURCHASED

200,000

47.00

American

Jun 25 2009

Call Option

PURCHASED

7,000

47.00

American

Oct 30 2008

Call Option

PURCHASED

2,000

48.00

American

Oct 30 2008

Call Option

PURCHASED

50,000

50.00

American

Dec 18 2008

Call Option

PURCHASED

25,000

55.00

American

Jun 25 2009

Call Option

PURCHASED

10,000

60.00

American

Jan 29 2009

Call Option

PURCHASED

22,000

49.00

American

Oct 30 2008

Call Option

PURCHASED

18,000

58.00

American

Dec 18 2008

Call Option

WRITTEN

2,782,000

0.01

American

Dec 18 2008

Call Option

WRITTEN

43,000

30.00

American

Dec 18 2008

Call Option

WRITTEN

100,000

33.00

American

Jan 29 2009

Call Option

WRITTEN

50,000

34.00

American

Jan 29 2009

Call Option

WRITTEN

1,000

34.00

American

Oct 30 2008

Call Option

WRITTEN

1,000

35.00

American

Oct 30 2008

Call Option

WRITTEN

75,000

37.00

American

Dec 18 2008

Call Option

WRITTEN

55,000

39.00

American

Dec 18 2008

Call Option

WRITTEN

50,000

39.00

American

Mar 25 2010

Call Option

WRITTEN

14,000

44.00

American

Oct 30 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

Call Option

WRITTEN

10,000

27.00

American

Oct 30 2008

Put Option

PURCHASED

100,000

28.00

American

Nov 27 2008

Put Option

PURCHASED

300,000

32.00

American

Oct 30 2008

Put Option

PURCHASED

94,000

34.00

American

Oct 30 2008

Put Option

PURCHASED

14,000

34.00

American

Nov 27 2008

Put Option

PURCHASED

75,000

35.00

American

Dec 18 2008

Put Option

PURCHASED

1,000

36.00

American

Oct 30 2008

Put Option

PURCHASED

27,000

39.00

American

Oct 30 2008

Put Option

PURCHASED

140,000

40.00

American

Oct 30 2008

Put Option

PURCHASED

100,000

45.00

American

Mar 25 2010

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

11,000

24.00

American

Oct 30 2008

Put Option

WRITTEN

27,000

28.00

American

Oct 30 2008

Put Option

WRITTEN

40,000

29.00

American

Dec 18 2008

Put Option

WRITTEN

2,000

29.00

American

Jan 29 2009

Put Option

WRITTEN

50,000

29.00

American

Nov 27 2008

Put Option

WRITTEN

43,000

30.00

American

Dec 18 2008

Put Option

WRITTEN

70,000

30.00

American

Oct 30 2008

Put Option

WRITTEN

25,000

30.00

American

Nov 27 2008

Put Option

WRITTEN

25,000

31.00

American

Dec 18 2008

Put Option

WRITTEN

25,000

31.00

American

Oct 30 2008

Put Option

WRITTEN

25,000

31.00

American

Nov 27 2008

Put Option

WRITTEN

25,000

33.00

American

Oct 30 2008

Put Option

WRITTEN

9,000

35.00

American

Oct 30 2008

Put Option

WRITTEN

40,000

35.00

American

Nov 27 2008

Put Option

WRITTEN

75,000

37.00

American

Dec 18 2008

Put Option

WRITTEN

50,000

37.00

American

Mar 25 2010

Put Option

WRITTEN

4,000

38.00

American

Dec 18 2008

Put Option

WRITTEN

17,000

39.00

American

Dec 18 2008

Put Option

WRITTEN

144,000

25.00

American

Jun 25 2009

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

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