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Form 8.3 - [BG Group Plc]

9th Feb 2016 17:00

RNS Number : 5767O
BNP Paribas London
09 February 2016
 

FORM 8.3

 

PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR MORE

Rule 8.3 of the Takeover Code (the "Code")

 

1. KEY INFORMATION

 

(a) Identity of the person whose positions/dealings are being disclosed:

BNP Paribas SA

(b) Owner or controller of interests and short positions disclosed, if different from 1(a):

The naming of nominee or vehicle companies is insufficient

(c) Name of offeror/offeree in relation to whose relevant securities this form relates:

Use a separate form for each offeror/offeree

BG Group Plc

(d) If an exempt fund manager connected with an offeror/offeree, state this and specify identity of offeror/offeree:

No

(e) Date position held/dealing undertaken:

8th February 2016 (In addition, BNP Paribas has dealt on previous dates during the offer period appended to this form).

(f) Has the discloser previously disclosed, or are they today disclosing, under the Code in respect of any other party to this offer?

Yes

 

 

2. POSITIONS OF THE PERSON MAKING THE DISCLOSURE

 

(a) Interests and short positions in the relevant securities of the offeror or offeree to which the disclosure relates following the dealing (if any)

 

Class of relevant security:

 

Ordinary shares - ISIN: GB0008762899

 

 

Interests

Short positions

Number

%

Number

%

(1) Relevant securities owned and/or controlled:

14,979,899

0.44

0.00

0.00

(2) Derivatives (other than options):

6,889,062

0.20

0.00

0.00

(3) Options and agreements to purchase/sell:

1,001,000

0.03

113,000

0.00

22,869,961

0.67

113,000

0.00

 

 

All interests and all short positions should be disclosed.

 

Details of any open derivative or option positions, or agreements to purchase or sell relevant securities, should be given on a Supplemental Form 8 (Open Positions).

 

(b) Rights to subscribe for new securities (including directors' and other executive options)

 

Class of relevant security in relation to which subscription right exists:

Details, including nature of the rights concerned and relevant percentages:

 

If there are positions or rights to subscribe to disclose in more than one class of relevant securities of the offeror or offeree named in 1(c), copy table 2(a) or (b) (as appropriate) for each additional class of relevant security.

 

3. DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

 

(a) Purchases and sales

 

Class of relevant security

Purchase/sale

 

Number of securities

Price per unit

GB0008762899

Sale

-193

10.4250

GB0008762899

Sale

-9,954

10.4400

GB0008762899

Sale

-4,073

10.4450

GB0008762899

Sale

-25,868

10.4500

GB0008762899

Sale

-15,465

10.4550

GB0008762899

Sale

-1,284

10.4700

GB0008762899

Sale

-294

10.4750

GB0008762899

Sale

-3,693

10.4800

GB0008762899

Sale

-8,457

10.4850

GB0008762899

Sale

-4,691

10.4900

GB0008762899

Sale

-12,662

10.4950

GB0008762899

Sale

-4,293

10.5000

GB0008762899

Sale

-20,319

10.5050

GB0008762899

Sale

-12,824

10.5100

GB0008762899

Sale

-8,745

10.5150

GB0008762899

Sale

-1,678

10.5200

GB0008762899

Sale

-15,289

10.5250

GB0008762899

Sale

-3,708

10.5300

GB0008762899

Sale

-3,433

10.5350

GB0008762899

Sale

-66,050

10.5450

GB0008762899

Sale

-9,485

10.5500

GB0008762899

Sale

-1,793

10.5550

GB0008762899

Sale

-4,258

10.5750

GB0008762899

Sale

-9,093

10.5950

GB0008762899

Sale

-9,746

10.6000

GB0008762899

Sale

-3,495

10.6050

GB0008762899

Sale

-5,236

10.6200

GB0008762899

Sale

-3,311

10.6300

GB0008762899

Sale

-1,178

10.6400

GB0008762899

Sale

-2,576

10.6450

GB0008762899

Sale

-597

10.6550

GB0008762899

Sale

-1,039,200

10.6600

GB0008762899

Sale

-8,492

10.6650

GB0008762899

Sale

-1,576

10.6700

GB0008762899

Sale

-1,400

10.6750

GB0008762899

Sale

-776

10.6800

Total:

1,325,185

GB0008762899

Purchase

726

10.45

GB0008762899

Purchase

257

10.4525

GB0008762899

Purchase

9029

10.455

GB0008762899

Purchase

5565

10.46

GB0008762899

Purchase

1930

10.47

GB0008762899

Purchase

937

10.4725

GB0008762899

Purchase

6748

10.475

GB0008762899

Purchase

20017

10.48

GB0008762899

Purchase

10075

10.485

GB0008762899

Purchase

12679

10.4866

GB0008762899

Purchase

23866

10.49

GB0008762899

Purchase

36296

10.495

GB0008762899

Purchase

5762

10.5

GB0008762899

Purchase

4932

10.505

GB0008762899

Purchase

23114

10.51

GB0008762899

Purchase

19303

10.515

GB0008762899

Purchase

6019

10.52

GB0008762899

Purchase

65962

10.5214

GB0008762899

Purchase

11638

10.525

GB0008762899

Purchase

662

10.5253

GB0008762899

Purchase

5995

10.53

GB0008762899

Purchase

2284

10.535

GB0008762899

Purchase

191669

10.545

GB0008762899

Purchase

19859

10.555

GB0008762899

Purchase

59089

10.5667

GB0008762899

Purchase

861

10.645

GB0008762899

Purchase

2360

10.685

Total:

547,634

 

(b) Derivatives transactions (other than options)

 

Class of relevant security

Product description

e.g. CFD

Nature of dealing

e.g. opening/closing a long/short position, increasing/reducing a long/short position

Number of reference securities

Price per unit

 

(c) Options transactions in respect of existing securities

 

(i) Writing, selling, purchasing or varying

 

Class of relevant security

Product description e.g. call option

Writing, purchasing, selling, varying etc.

Number of securities to which option relates

Exercise price per unit

Type

e.g. American, European etc.

Expiry date

Option money paid/ received per unit

Trade Date

GB0008762899

Put Option

Purchase

1,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

9,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

11,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

2,000

750GBP

American

20160617

16GBP

2016/02/08

GB0008762899

Put Option

Purchase

2,000

750GBP

American

20160617

16GBP

2016/02/08

GB0008762899

Put Option

Purchase

10,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

4,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

1,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

1,000

750GBP

American

20160617

16GBP

2016/02/08

GB0008762899

Put Option

Purchase

1,000

750GBP

American

20160617

16GBP

2016/02/08

GB0008762899

Put Option

Purchase

2,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

20,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

5,000

750GBP

American

20160617

21.5GBP

2016/02/08

GB0008762899

Put Option

Purchase

10,000

750GBP

American

20160617

21.5GBP

2016/02/08

 

(ii) Exercising

 

Class of relevant security

Product description

e.g. call option

Number of securities

Exercise price per unit

None

 

 

 

(d) Other dealings (including subscribing for new securities)

 

Class of relevant security

Nature of dealing

e.g. subscription, conversion

Details

Price per unit (if applicable)

None

 

 

 

The currency of all prices and other monetary amounts should be stated.

 

Where there have been dealings in more than one class of relevant securities of the offeror or offeree named in 1(c), copy table 3(a), (b), (c) or (d) (as appropriate) for each additional class of relevant security dealt in.

 

4. OTHER INFORMATION

 

(a) Indemnity and other dealing arrangements

 

Details of any indemnity or option arrangement, or any agreement or understanding, formal or informal, relating to relevant securities which may be an inducement to deal or refrain from dealing entered into by the person making the disclosure and any party to the offer or any person acting in concert with a party to the offer:

If there are no such agreements, arrangements or understandings, state "none"

 

None

 

 

(b) Agreements, arrangements or understandings relating to options or derivatives

 

Details of any agreement, arrangement or understanding, formal or informal, between the person making the disclosure and any other person relating to:

(i) the voting rights of any relevant securities under any option; or

(ii) the voting rights or future acquisition or disposal of any relevant securities to which any derivative is referenced:

If there are no such agreements, arrangements or understandings, state "none"

 

None

 

 

(c) Attachments

 

Is a Supplemental Form 8 (Open Positions) attached?

YES

 

 

Date of disclosure:

9th February 2016

Contact name:

Aimee RICHARDSON

Telephone number:

02075959695

 

Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service and must also be emailed to the Takeover Panel at [email protected]. The Panel's Market Surveillance Unit is available for consultation in relation to the Code's dealing disclosure requirements on +44 (0)20 7638 0129.

 

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.

 

 

Addendum One

 

 

Class of relevant security

Product description

e.g. CFD

Nature of dealing

e.g. opening/closing a long/short position, increasing/reducing a long/short position

Number of reference securities

Price per unit

Trade Date

GB0008762899

CFD

Opening Long Position

54,000

10.57 GBP

04/02/2016

GB0008762899

CFD

Closing Long Position

-12,000

10.57 GBP

04/02/2016

GB0008762899

CFD

Unwind

-10,073

10.58 GBP

04/02/2016

GB0008762899

CFD

Opening Long Position

30,000

10.15 GBP

03/02/2016

GB0008762899

CFD

Opening Long Position

5,595

10.12 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-931

10.18 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-2,080

10.18 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-6,603

10.18 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-55,000

10.18 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-2,366

10.16 GBP

03/02/2016

GB0008762899

CFD

Closing Long Position

-20,634

10.18 GBP

03/02/2016

GB0008762899

CFD

Opening Long Position

10,882

10.21 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

40,000

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-9,500

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-500

10.14 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

58,809

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-18,000

10.16 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

367,500

10.13 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

904,027

10.18 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

670,000

10.24 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

385,000

10.14 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

7,163

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-9,905

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-463

10.14 GBP

02/02/2016

GB0008762899

CFD

Closing Long Position

-93,470

10.14 GBP

02/02/2016

GB0008762899

CFD

Opening Long Position

78,900

10.45 GBP

01/02/2016

GB0008762899

CFD

Opening Long Position

50,000

10.45 GBP

01/02/2016

GB0008762899

CFD

Opening Long Position

1,742

10.48 GBP

01/02/2016

GB0008762899

CFD

Opening Long Position

127,916

10.40 GBP

01/02/2016

GB0008762899

CFD

Opening Long Position

10,000

10.50 GBP

29/01/2016

GB0008762899

CFD

Opening Long Position

40,000

10.51 GBP

29/01/2016

GB0008762899

CFD

Closing Long Position

-850

10.54 GBP

29/01/2016

GB0008762899

CFD

Opening Long Position

103,000

10.47 GBP

28/01/2016

GB0008762899

CFD

Closing Long Position

-7,272

10.44 GBP

28/01/2016

GB0008762899

CFD

Opening Long Position

231,400

10.01 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

312,097

9.86 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

380,000

10.14 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

214,673

9.92 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

208,586

10.05 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

2,491

10.30 GBP

27/01/2016

GB0008762899

CFD

Closing Long Position

-12,390

10.29 GBP

27/01/2016

GB0008762899

CFD

Opening Long Position

5,130

9.67 GBP

26/01/2016

GB0008762899

CFD

Opening Long Position

195,000

9.74 GBP

25/01/2016

GB0008762899

CFD

Opening Long Position

319,466

9.78 GBP

25/01/2016

GB0008762899

CFD

Opening Long Position

740,000

9.88 GBP

25/01/2016

GB0008762899

CFD

Opening Long Position

500

9.85 GBP

22/01/2016

GB0008762899

CFD

Opening Long Position

50,394

9.64 GBP

22/01/2016

GB0008762899

CFD

Opening Long Position

91,313

9.67 GBP

22/01/2016

GB0008762899

CFD

Opening Long Position

75,000

9.06 GBP

21/01/2016

GB0008762899

CFD

Opening Long Position

50702

9.12 GBP

21/01/2016

GB0008762899

CFD

Opening Long Position

161,598

9.16 GBP

21/01/2016

GB0008762899

CFD

Opening Long Position

80,000

9.16 GBP

20/01/2016

GB0008762899

CFD

Opening Long Position

30,000

9.08 GBP

20/01/2016

GB0008762899

CFD

Opening Long Position

15,000

9.17 GBP

20/01/2016

GB0008762899

CFD

Opening Long Position

15,000

9.15 GBP

20/01/2016

GB0008762899

CFD

Opening Long Position

17,744

8.98 GBP

20/01/2016

GB0008762899

CFD

Opening Long Position

20,000

9.41 GBP

19/01/2016

GB0008762899

CFD

Opening Long Position

11,565

9.36 GBP

19/01/2016

GB0008762899

CFD

Opening Long Position

36,000

9.37 GBP

19/01/2016

GB0008762899

CFD

Opening Long Position

20,312

9.39 GBP

18/01/2016

GB0008762899

CFD

Opening Long Position

2,080

9.29 GBP

18/01/2016

GB0008762899

CFD

Opening Long Position

6,603

9.35 GBP

15/01/2016

GB0008762899

CFD

Closing Long Position

-5,000

9.55 GBP

14/01/2016

GB0008762899

CFD

Opening Long Position

100,000

9.17 GBP

12/01/2016

GB0008762899

CFD

Opening Long Position

5,000

9.30 GBP

21/12/2015

GB0008762899

CFD

Opening Long Position

70,000

9.41 GBP

18/12/2015

GB0008762899

CFD

Opening Long Position

60,000

9.88 GBP

09/12/2015

GB0008762899

CFD

Opening Long Position

65,000

10.53 GBP

03/12/2015

 

Addendum Two

 

 

Class of relevant security

Product description e.g. call option

Writing, purchasing, selling, varying etc.

Number of securities to which option relates

Exercise price per unit

Type

e.g. American, European etc.

Expiry date

Option money paid/ received per unit

Trade Date

GB0008762899

Put Option

BUY

1,000

800 GBP

European

17/06/2016

29.50

03/02/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

20.00

03/02/2016

GB0008762899

Put Option

BUY

14,000

800 GBP

European

17/06/2016

35.50

03/02/2016

GB0008762899

Put Option

BUY

6,000

750 GBP

European

17/06/2016

20.00

03/02/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

19.50

03/02/2016

GB0008762899

Put Option

BUY

3,000

800 GBP

European

17/06/2016

34.00

03/02/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

20.00

03/02/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

25.00

03/02/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

20.00

03/02/2016

GB0008762899

Put Option

BUY

15,000

700 GBP

European

17/06/2016

27.50

26/01/2016

GB0008762899

Put Option

BUY

15,000

750 GBP

European

17/06/2016

36.00

26/01/2016

GB0008762899

Put Option

BUY

1,000

700 GBP

European

17/06/2016

27.00

26/01/2016

GB0008762899

Put Option

BUY

2,000

700 GBP

European

17/06/2016

32.00

19/01/2016

GB0008762899

Put Option

BUY

11,000

750 GBP

European

17/06/2016

43.00

19/01/2016

GB0008762899

Put Option

BUY

1,000

700 GBP

European

17/06/2016

32.00

19/01/2016

GB0008762899

Put Option

BUY

12,000

750 GBP

European

17/06/2016

43.50

19/01/2016

GB0008762899

Put Option

BUY

2,000

700 GBP

European

17/06/2016

33.00

19/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

43.00

19/01/2016

GB0008762899

Put Option

BUY

2,000

700 GBP

European

17/06/2016

33.50

19/01/2016

GB0008762899

Put Option

BUY

3,000

700 GBP

European

17/06/2016

33.50

19/01/2016

GB0008762899

Put Option

BUY

3,000

750 GBP

European

17/06/2016

43.50

19/01/2016

GB0008762899

Put Option

BUY

18,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

20,000

700 GBP

European

17/06/2016

31.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

1,000

800 GBP

European

17/06/2016

51.00

13/01/2016

GB0008762899

Put Option

BUY

19,000

750 GBP

European

17/06/2016

40.00

13/01/2016

GB0008762899

Put Option

BUY

9,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

36.00

13/01/2016

GB0008762899

Put Option

BUY

4,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

18,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

10,000

700 GBP

European

17/06/2016

30.00

13/01/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

1,000

700 GBP

European

17/06/2016

30.00

13/01/2016

GB0008762899

Put Option

BUY

17,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

18,000

750 GBP

European

2016/0617

39.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

700 GBP

European

17/06/2016

30.50

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

GBP 17/06 GBP /2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

700 GBP

European

17/06/2016

31.00

13/01/2016

GB0008762899

Put Option

BUY

6,000

700 GBP

European

17/06/2016

31.00

13/01/2016

GB0008762899

Put Option

BUY

16,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

6,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

40.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

800 GBP

European

17/06/2016

49.50

13/01/2016

GB0008762899

Put Option

BUY

4,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

1,000

800 GBP

European

17/06/2016

51.00

13/01/2016

GB0008762899

Put Option

BUY

3,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

40.00

13/01/2016

GB0008762899

Put Option

BUY

11,000

700 GBP

European

17/06/2016

30.50

13/01/2016

GB0008762899

Put Option

BUY

9,000

750 GBP

European

17/06/2016

40.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

9,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

9,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

2,000

750 GBP

European

17/06/2016

40.00

13/01/2016

GB0008762899

Put Option

BUY

4,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

1,000

800 GBP

European

17/06/2016

49.50

13/01/2016

GB0008762899

Put Option

BUY

1,000

750 GBP

European

17/06/2016

39.50

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

39.00

13/01/2016

GB0008762899

Put Option

BUY

20,000

750 GBP

European

17/06/2016

32.00

05/01/2016

GB0008762899

Put Option

SELL

-16,000

800 GBP

European

19/02/2016

23.00

04/01/2016

GB0008762899

Call Option

SELL

-16,000

1000 GBP

European

18/03/2016

41.00

22/12/2015

GB0008762899

Put Option

SELL

-16,000

750 GBP

European

19/02/2016

24.50

21/12/2015

GB0008762899

Call Option

SELL

-5,000

1050 GBP

European

18/03/2016

25.00

18/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

European

18/12/2015

1.00

16/12/2015

GB0008762899

Call Option

SELL

-2,000

1000 GBP

European

18/12/2015

1.00

16/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

European

18/12/2015

2.50

16/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

European

18/12/2015

1.00

16/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

Europe an

18/12/2015

1.00

16/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

European

18/12/2015

1.00

16/12/2015

GB0008762899

Call Option

SELL

-15,000

1000 GBP

European

18/12/2015

1.00

16/12/2015

GB0008762899

Put Option

BUY

5,000

950 GBP

European

18/12/2015

25.00

08/12/2015

GB0008762899

Put Option

SELL

-5,000

1000 GBP

European

18/12/2015

32.50

07/12/2015

GB0008762899

Call Option

BUY

5,000

1200 GBP

European

18/12/2015

0.50

07/12/2015

GB0008762899

Put Option

SELL

-2,000

800 GBP

European

15/01/2016

14.00

01/12/2015

GB0008762899

Put Option

SELL

-34,000

800 GBP

European

17/06/2016

43.00

01/12/2015

GB0008762899

Put Option

SELL

-13,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-16,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-2,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-15,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-15,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-1,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-15,000

850 GBP

European

18/12/2015

12.00

17/11/2015

GB0008762899

Put Option

SELL

-7,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-7,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-7,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-5,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-7,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

850 GBP

European

18/12/2015

16.00

16/11/2015

GB0008762899

Put Option

SELL

-15,000

880 GBP

European

18/12/2015

18.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-7,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-1,000

800 GBP

European

18/12/2015

11.00

16/11/2015

GB0008762899

Put Option

SELL

-10,000

950 GBP

European

18/03/2016

89.00

13/11/2015

GB0008762899

Put Option

SELL

-26,000

850 GBP

European

18/12/2015

18.50

13/11/2015

GB0008762899

Put Option

SELL

-26,000

850 GBP

European

18/12/2015

18.50

13/11/2015

GB0008762899

Put Option

SELL

-10,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-15,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-9,000

850 GBP

European

18/12/2015

18.50

13/11/2015

GB0008762899

Put Option

SELL

-5,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-4,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-20,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-30,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-5,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-10,000

850 GBP

European

18/12/2015

17.00

13/11/2015

GB0008762899

Put Option

SELL

-16,000

850 GBP

European

18/12/2015

17.00

13/11/2015

 

 

 

SUPPLEMENTAL FORM 8 (OPEN POSITIONS)

 

DETAILS OF OPEN STOCK-SETTLED DERIVATIVE (INCLUDING OPTION) POSITIONS, AGREEMENTS TO PURCHASE OR SELL ETC.

Note 5(i) on Rule 8 of the Takeover Code (the "Code")

 

 

1. KEY INFORMATION

 

Full name of person making disclosure:

BNP Paribas SA

Name of offeror/offeree in relation to whose relevant securities the disclosure relates:

BG Group Plc

 

2. STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)

 

Class of relevant security

Product description e.g. call option

Written or purchased

Number of securities to which option or derivative relates

Exercise price per unit

Type

e.g. American, European etc.

Expiry date

GB0008762899

Put Option

Written

76,000

700 GBP

American

2016/06/17

GB0008762899

Put Option

Written

449,000

750 GBP

American

2016/06/17

GB0008762899

Put Option

Written

22,000

800 GBP

American

2016/06/17

GB0008762899

Put Option

Purchase

16,000

750 GBP

American

2016/02/19

GB0008762899

Put Option

Purchase

16,000

800 GBP

American

2016/02/19

GB0008762899

Call Option

Written

16,000

1000 GBP

American

2016/03/18

GB0008762899

Call Option

Written

5,000

1050 GBP

American

2016/03/18

GB0008762899

Call Option

Purchase

1,000

1150 GBP

American

2016/03/18

GB0008762899

Put Option

Purchase

16,000

900 GBP

American

2016/03/18

GB0008762899

Put Option

Purchase

10,000

950 GBP

American

2016/03/18

GB0008762899

Put Option

Purchase

34,000

800 GBP

American

2016/06/17

GB0008762899

Put Option

Written

500,000

750 GBP

American

2016/12/16

 

3. AGREEMENTS TO PURCHASE OR SELL ETC.

 

Full details should be given so that the nature of the interest or position can be fully understood:

 

 

 

 

 

 

It is not necessary to provide details on a Supplemental Form (Open Positions) with regard to cash-settled derivatives.

 

The currency of all prices and other monetary amounts should be stated.

 

The Panel's Market Surveillance Unit is available for consultation in relation to the Code's disclosure requirements on +44 (0)20 7638 0129.

 

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.

 

 

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

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