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Form 38.5(b) - Pfizer Inc.

5th Nov 2015 11:58

RNS Number : 7093E
J.P. Morgan Securities LLC
05 November 2015
 

Ap27

 

FORM 38.5(b)

 

IRISH TAKEOVER PANEL

 

DISCLOSURE UNDER RULE 38.5(b) OF THE IRISH TAKEOVER PANEL ACT, 1997, TAKEOVER RULES, 2013

 

DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RECOGNISED INTERMEDIARY STATUS BUT NOT DEALING IN A CLIENT-SERVING CAPACITY

 

 

1. KEY INFORMATION

 

Name of exempt principal trader

J.P. Morgan Securities LLC.

Company dealt in

Pfizer Inc

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

Common Stock

Date of dealing

04 November 2015

 

2. INTERESTS AND SHORT POSITIONS

 

(a) Interests and short positions (following dealing) in the class of relevant security dealt in (Note 2)

 

Class of relevant security:

Long

Short

Common Stock

Number

(%)

Number

(%)

(1) Relevant securities

 5,223,619 0.08

3,417,997 0.06

(2) Derivatives (other than options)

1,098,327 0.02

 2,468,434 0.04

(3) Options and agreements to purchase/sell

 6,401,570 0.10

3,383,300 0.05

Total

12,723,516 0.20

9,269,731 0.15

 

 

 

(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

Number

(%)

Number

(%)

(1) Relevant securities

(2) Derivatives (other than options)

(3) Options and agreements to purchase/sell

Total

 

Ap28

 

 

3. DEALINGS (Note 3)

 

(a) Purchases and sales

 

Purchases/ sales

 

Number of relevant securities

Price per unit (USD)

Purchases

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sales

1,300

2,500

8,400

900

1,000

4,200

1,500

9,900

20,285

9,300

12,600

200

18,873

900

66,100

70,354

6,500

36,984

3,200

9,622

15,782

18,800

5,217

17,200

500

8,111

33,000

3,400

200

17,800

18,800

1,200

2,100

6,495

8,877

15,794

4,091

4,800

1,200

4,500

8,800

2,935

 

26,737

2,935

30

200

6

94

100

259

100

34.1050

34.1100

34.1150

34.1200

34.1225

34.1250

34.1300

34.1350

34.1400

34.1425

34.1450

34.1475

34.1500

34.1506

34.1525

34.1549

34.1550

34.1597

34.1600

34.1601

34.1606

34.1625

34.1638

34.1650

34.1670

34.1700

34.1725

34.1750

34.1800

34.1825

34.1850

34.1883

34.1900

34.1950

34.1989

34.2000

34.2025

34.2035

34.2150

34.2200

34.2300

34.3200

 

34.1400

34.2100

34.5700

34.5950

34.7500

34.8000

34.8050

34.8100

34.9300

 

(b) Derivatives transactions (other than options transactions)

 

Product name,

e.g. CFD

Nature of transaction

(Note 5)

Number of relevant securities

(Note 6)

Price per unit (USD)

(Note 4)

 

(c) Options transactions in respect of existing relevant 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 7)

Exercise price

Type, e.g. American, European etc.

Expiry date

Option money paid/received per unit (Note 4)

 

 

(ii) Exercising

 

Product name,

e.g. call option

Number of securities

Exercise price per unit (Note 4)

Leveraged Accumulator

370

29.1203

+ bought by counterparty at exercise price

 

 

(d) Other dealings (including transactions in respect of new securities) (Note 3)

 

Nature of transaction

(Note 7)

Details

Price per unit

(if applicable) (Note 4)

 

Ap29

 

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

05 November 2015

Contact name

Tung Le

Telephone number

020 7742 7272

Name of offeree/offeror with which connected

Allergan plc

Nature of connection (Note 9)

Adviser to Allergan plc

 

 

 

SUPPLEMENTAL FORM 38.5(b)

 

 

 

 

IRISH TAKEOVER PANEL

 

DISCLOSURE UNDER RULE 38.5(b) OF THE IRISH TAKEOVER PANEL ACT, 1997, TAKEOVER RULES, 2013

 

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 relevant securities to which the option or derivative relates

Exercise price (Note 2)(USD)

Type, e.g. American, European etc.

Expiry date

Call option

Purchased

30,000

35.00

American

20/01/17

Call option

Purchased

70,000

37.00

American

20/01/17

Call option

Purchased

108,700

34.91

European

09/11/15

Call option

Purchased

113,900

35.00

American

15/01/16

Call option

Purchased

700

38.00

American

15/01/16

Call option

Purchased

200,000

34.00

American

20/11/15

Call option

Purchased

1,500,000

35.00

American

13/11/15

Call option

Written

 

2,500

28.00

American

15/01/16

Call option

Written

14,700

30.00

American

15/01/16

Call option

Written

200

37.00

American

15/01/16

Call option

Written

150,000

37.00

American

15/01/16

Call option

Written

50,000

33.00

American

18/12/15

Call option

Written

47,100

34.00

American

18/12/15

Call option

Written

7,600

32.00

American

15/01/16

Call option

Purchased

383,200

34.71

European

21/05/16

Call option

Purchased

383,200

34.71

European

21/05/16

Call option

Purchased

127,794

35.28

European

03/12/15

Call option

Purchased

120,533

35.66

European

12/01/16

Call option

Purchased

48,943

36.47

European

25/01/16

Call option

Purchased

295,700

36.49

European

05/11/15

Call option

Purchased

295,700

36.49

European

05/11/15

Call option

Purchased

192,000

37.12

European

10/11/15

Call option

Purchased

192,000

37.12

European

10/11/15

Call option

Purchased

200,000

33.00

European

16/12/15

Call option

Written

200,000

33.00

European

16/12/16

Call option

Written

383,200

34.71

European

21/12/15

Call option

Written

295,700

36.49

European

05/11/15

Call option

Written

192,000

37.12

European

10/11/15

Put option

Written

 

30,000

35.00

American

20/01/17

Put option

Written

 

20,000

35.00

American

20/01/17

Put option

Written

 

4,300

30.00

American

15/01/16

Put option

Written

 

2,800

28.00

American

15/01/16

Put option

Written

 

300

32.00

American

15/01/16

Put option

Written

 

150,000

30.00

American

16/09/16

Put option

Written

 

100,000

36.00

American

18/03/16

Put option

Written

 

32,900

32.00

American

15/01/16

Put Option

Written

1,500,000

35.00

American

17/06/16

Put option

Purchased

9,200

33.00

American

19/02/16

Put option

Purchased

19,100

31.00

American

19/02/16

Put option

Purchased

5,300

23.00

American

15/01/16

Put option

Purchased

100,000

30.00

American

15/01/16

Put option

Purchased

5,600

25.00

American

15/01/16

Put option

Purchased

250,000

28.00

American

15/01/16

Put option

Written

200,000

33.00

European

16/12/16

Put Option

Purchased

1,500,000

34.50

American

13/11/15

Put option

Purchased

450,000

35.00

American

15/01/16

Callable Barrier Reverse Convertible Note

Purchased

183,430

32.71

N/A

21/03/17

Callable Barrier Reverse Convertible Note

Purchased

30,572

32.71

N/A

21/03/17

Auto-callable Barrier Reverse Convertible Note

Purchased

45,984

32.62

N/A

17/03/17

Barrier Reverse Convertible Note

Purchased

30,408

34.53

N/A

05/04/16

Equity Linked Note

Purchased

6,740

29.67

N/A

03/02/16

Leveraged Accumulator

Purchased

15,614+

29.12

N/A

12/09/16

Callable Barrier Reverse Convertible Note

Written

183,430

32.71

N/A

21/03/17

Callable Barrier Reverse Convertible Note

Written

30,572

32.71

N/A

21/03/17

Auto-Callable Barrier Reverse Convertible Note

Written

45,984

32.62

N/A

17/03/17

Barrier Reverse Convertible Note

Written

30,408

34.53

N/A

05/04/16

Equity Linked Note

Written

6,740

29.67

N/A

03/02/16

Leveraged Accumulator

Written

15,614+

29.12

N/A

12/09/16

Leveraged Accumulator

Written

10,200+

31.70

N/A

04/03/16

Auto-callable Optimization Securities

Written

7,851

27.60

N/A

25/06/20

Equity Linked Note

Written

6,740

29.67

N/A

03/02/16

Callable Barrier Reverse Convertible Note

Written

183,430

32.71

N/A

21/03/17

Callable Barrier Reverse Convertible Note

Written

30,572

32.71

N/A

21/03/17

Auto-Callable Barrier Reverse Convertible Note

Written

45,984

32.62

N/A

17/03/17

Barrier Reverse Convertible Note

Written

30,408

34.53

N/A

05/04/16

Leveraged Accumulator

Written

15,614+

29.12

N/A

12/09/16

Put Option

Purchased

457,000

27.50

N/A

11/01/16

Callable Barrier Reverse Convertible

Purchased

22,929

32.71

N/A

21/03/17

Auto-Callable Barrier Reverse Convertible Note

Purchased

7,685

32.53

N/A

15/03/17

Auto-Callable Barrier Reverse Convertible Note

Purchased

11,189

32.62

N/A

17/03/17

Barrier Reverse Convertible Note

Purchased

178

2.44

N/A

05/04/2016

+ This instrument is physically settled, and the interest in shares has been calculated as the maximum number of Mylan shares that the counterparty could be obliged to buy at the exercise price

 

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 Rules 8 and

38.5 of the Rules. If in doubt, consult the Panel.

 

 

 

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

Related Shares:

PFZ.L
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Change47.96