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Form 38.5 - Elan Corporation Plc

30th Jul 2013 13:21

Form 38.5

IRISH TAKEOVER PANEL

DISCLOSURE UNDER RULE 38.5 OF THE IRISH TAKEOVER PANEL ACT, 1997,

TAKEOVER RULES, 2007 (AS AMENDED)

DEALINGS BY CONNECTED EXEMPT MARKET-MAKERS

1. KEY INFORMATION

Name of exempt market-maker BARCLAYS CAPITAL SECURITIES LTD
Company dealt in Elan Corporation plc
Class of relevant security to which the €0.05 ordinary shares
dealings being disclosed relate
Date of dealing 29 July 2013

2. DEALINGS (Note 2)

(a) Purchases and sales

Total number of relevant secuities acquired Number of Highest price paid Lowest price paid
securities
Purchase 52,927 12.0325 EUR 11.55 EUR
686,632 15.6921 USD 15.5456 USD
Total number of relevant secuities disposed Number of Highest price received Lowest price received
securities
Sale 87,258 12.3972 EUR 11.55 EUR
689,493 15.6968 USD 15.5468 USD

(b) Derivatives transactions (other than options transactions)

Product name Nature of transaction Number of relevant securities Price per unit
CFD Long 15,592 12.2301 EUR
CFD Long 34,664 11.7596 EUR
CFD Short 1,964 11.5840 EUR
CFD Short 16,692 12.0880 EUR

(c) Options transactions in respect of existing relevant securities

(i) Writing, selling, purchasing or varying

Product name Writing, Number Exercise Type Expiry Option
purchasing, of price date money
selling, securities paid/
varying etc to which received
option per unit
relates
Call Options Purchasing 100 13 USD American 18 Jan 2014 2.3500 USD
Call Options Purchasing 22,300 14 USD American 18 Jan 2014 1.7257 USD
Call Options Purchasing 14,900 15 USD American 17 Aug 2013 0.7187 USD
Call Options Purchasing 500 15 USD American 21 Sep 2013 0.8820 USD
Call Options Purchasing 11,200 15 USD American 19 Oct 2013 0.8016 USD
Call Options Purchasing 11,300 15 USD American 18 Jan 2014 1.0495 USD
Call Options Purchasing 2,700 15 USD American 17 Jan 2015 1.4481 USD
Call Options Purchasing 2,700 16 USD American 18 Jan 2014 0.3500 USD
Call Options Selling 100 13 USD American 19 Oct 2013 3.0000 USD
Call Options Selling 2,500 14 USD American 17 Aug 2013 1.5720 USD
Call Options Selling 20,000 14 USD American 19 Oct 2013 1.7500 USD
Call Options Selling 100 15 USD American 21 Sep 2013 0.6500 USD
Call Options Selling 800 15 USD American 18 Jan 2014 0.8812 USD
Call Options Selling 100 15 USD American 17 Jan 2015 1.3000 USD
Call Options Selling 3,900 16 USD American 21 Sep 2013 0.1974 USD
Call Options Selling 100 17 USD American 21 Sep 2013 0.0600 USD
Call Options Selling 2,500 17 USD American 18 Jan 2014 0.2000 USD
Call Options Selling 300 20 USD American 17 Jan 2015 0.1000 USD
Put Options Purchasing 5,000 10 USD American 17 Jan 2015 0.0500 USD
Put Options Purchasing 5,100 15 USD American 17 Aug 2013 0.0990 USD
Put Options Purchasing 1,000 15 USD American 18 Jan 2014 0.4000 USD
Put Options Purchasing 100 16 USD American 17 Aug 2013 0.5500 USD
Put Options Selling 1,000 15 USD American 21 Sep 2013 0.2000 USD

(ii) Exercising

Product name e.g. call option Number of securities Exercise price per unit (Note 3)

3. OTHER INFORMATION

Agreements, arrangements or understandings related 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 or any relevant securities under any option referred to on this form 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

Date of disclosure: 30 Jul 2013
Contact name: Rajesh Muthanna
Telephone number: 020 3555 4634
Name of offeree/offeror with which connected PERRIGO CO
Nature of connection Advisor to Offeror

NOTES ON FORM 38.5

1 See the definition of “relevant securities” in Rule 2.1 of Part A of the Rules.

2 See the definition of “dealing” in Rule 2.1 of Part A of the Rules.

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

4 If a long position has been increased or decreased as a result of the dealing, write “increased long” or “decreased long” respectively. If a short position has been increased or decreased as a result of the dealing, write “increased short” or “decreased short” respectively. If the dealing has not resulted in a long or short position being increased or reduced, give details of the variation or other dealing.

5 See Rule 2.7(d) of Part A of the Rules.

6 See the definition of “connected market-maker” in Rule 2.3 of Part A of the Rules.

For full details of disclosure requirements, see Rules 8 and 38.5 of the Rules.

If in doubt, consult the Panel.

References in these notes to “the Rules” are to the Irish Takeover Panel Act, 1997, Takeover Rules, 2007 (as amended).

SUPPLEMENTAL FORM 8

IRISH TAKEOVER PANEL

DISCLOSURE UNDER RULE 8.1 AND RULE 8.3 OF THE IRISH TAKEOVER PANEL ACT, 1997, TAKEOVER RULES, 2007 (AS AMENDED)

DETAILS OF OPEN POSITIONS

(This form should be attached to Form 8.1(a) & (b)(i), Form 8.1(b)(ii) or Form 8.3, as appropriate)

OPEN POSITIONS (Note 1)

Product name Written or purchased Number of Exercise Type Expiry
securities to which price date
option relates
Put Options Purchased 2,000 5.0000 American 31 Jul 2013
Put Options Purchased 418,600 10.0000 American 31 Jul 2013
Put Options Purchased 1,555,000 11.0000 American 31 Jul 2013
Put Options Purchased 45,000 12.0000 American 31 Jul 2013
Put Options Purchased 38,800 13.0000 American 31 Jul 2013
Put Options Purchased 96,300 14.0000 American 31 Jul 2013
Put Options Purchased 6,100 15.0000 American 31 Jul 2013
Put Options Purchased 5,600 16.0000 American 31 Jul 2013
Put Options Written -300 8.0000 American 31 Jul 2013
Put Options Written -14,500 10.0000 American 31 Jul 2013
Put Options Written -818,900 11.0000 American 31 Jul 2013
Put Options Written -2,957,400 12.0000 American 31 Jul 2013
Put Options Written -671,600 13.0000 American 31 Jul 2013
Put Options Written -417,600 14.0000 American 31 Jul 2013
Put Options Written -7,800 15.0000 American 31 Jul 2013
Put Options Written -3,400 22.0000 American 31 Jul 2013
Call Options Purchased 200 6.0000 American 31 Jul 2013
Call Options Purchased 246,700 10.0000 American 31 Jul 2013
Call Options Purchased 348,700 12.0000 American 31 Jul 2013
Call Options Purchased 850,000 13.0000 American 31 Jul 2013
Call Options Purchased 3,078,700 14.0000 American 31 Jul 2013
Call Options Purchased 56,400 15.0000 American 31 Jul 2013
Call Options Purchased 146,100 16.0000 American 31 Jul 2013
Call Options Purchased 71,300 17.0000 American 31 Jul 2013
Call Options Purchased 400 18.0000 American 31 Jul 2013
Call Options Purchased 1,400 20.0000 American 31 Jul 2013
Call Options Purchased 4,200 22.0000 American 31 Jul 2013
Call Options Purchased 700 25.0000 American 31 Jul 2013
Call Options Written -2,400 5.0000 American 31 Jul 2013
Call Options Written -3,000 9.0000 American 31 Jul 2013
Call Options Written -1,100 10.0000 American 31 Jul 2013
Call Options Written -6,100 11.0000 American 31 Jul 2013
Call Options Written -500,000 12.0000 American 31 Jul 2013
Call Options Written -35,700 13.0000 American 31 Jul 2013
Call Options Written -58,300 14.0000 American 31 Jul 2013
Call Options Written -1,345,500 15.0000 American 31 Jul 2013
Call Options Written -687,300 16.0000 American 31 Jul 2013
Call Options Written -800 17.0000 American 31 Jul 2013
Call Options Written -300 20.0000 American 31 Jul 2013
Call Options Written -100 22.0000 American 31 Jul 2013

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 must also be given on this form.

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

For full details of disclosure requirements, see Rule 8 of the Rules. If in doubt, consult the Panel.

Copyright Business Wire 2013


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