17th Oct 2022 12:10
RNS Number : 129D Barclays PLC 17 October 2022 160
FORM 8.3
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PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY
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A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR
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MORE
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Rule 8.3 of the Takeover Coe (the "Coe")
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1.
KEY INFORMATION
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(a)
Full name of iscloser:
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Barclays PLC.
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(b)
Owner or controller of interest an short
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positions isclose, if ifferent from 1(a):
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(c)
Name of offeror/offeree in relation to whose
MEDICLINIC INTERNATIONAL PLC
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relevant securities this form relates:
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()
If an exempt fun manager connecte with an
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offeror/offeree, state this an specify ientity of
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offeror/offeree:
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(e)
Date position hel/ealing unertaken:
14 Oct 2022
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(f)
In aition to the company in 1(c) above, is the iscloser making
NO
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isclosures in respect of any other party to the offer?
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2.
POSITIONS OF THE PERSON MAKING THE DISCLOSURE
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(a)
Interests an short positions in the relevant securities of the offeror or offeree
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to which the isclosure relates following the ealing(if any)
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Class of relevant security:
10p orinary
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160
Interests
Short Positions
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Number
(%)
Number
(%)
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(1)
Relevant securities owne
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an/or controlle:
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13,36,274
1.84%
4,736,62
0.64%
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(2)
Cash-settle erivatives:
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an/or controlle:
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3,622,646
0.49%
10,888,167
1.48%
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(3)
Stock-settle erivatives (incluing options)
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an agreements to purchase/sell:
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0
0.00%
0
0.00%
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TOTAL:
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17,18,920
2.33%
1,624,729
2.12%
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(b)
Rights to subscribe for new securities (incluing irectors an other executive
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options)
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Class of relevant security in relation to
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which subscription right exists
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Details, incluing nature of the rights
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concerne an relevant percentages:
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3.
DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER
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(a)
Purchases an sales
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Class of relevant
Purchase/sale
Number of
Price per unit
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security
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securities
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10p orinary
Purchase
28
4.9461160 GBP
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10p orinary
Purchase
42
4.942160 GBP
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10p orinary
Purchase
112
4.9900160 GBP
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10p orinary
Purchase
39
4.9474160 GBP
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10p orinary
Purchase
77
4.9340160 GBP
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10p orinary
Purchase
61
4.943160 GBP
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10p orinary
Purchase
822
4.9460160 GBP
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10p orinary
Purchase
1,73
4.9364160 GBP
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10p orinary
Purchase
1,88
4.9440160 GBP
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10p orinary
Purchase
1,964
4.9426160 GBP
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10p orinary
Purchase
3,07
4.929160 GBP
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10p orinary
Purchase
,31
4.9361160 GBP
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10p orinary
Purchase
8,31
4.9297160 GBP
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10p orinary
Purchase
12,12
4.9442160 GBP
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10p orinary
Purchase
12,291
4.9433160 GBP
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10p orinary
Purchase
1,999
4.9441160 GBP
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10p orinary
Purchase
26,382
4.934160 GBP
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10p orinary
Purchase
63,48
4.9466160 GBP
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10p orinary
Purchase
182,017
4.9300160 GBP
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10p orinary
Purchase
328,302
4.9470160 GBP
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10p orinary
Sale
61
4.9440160 GBP
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10p orinary
Sale
1,4
4.9377160 GBP
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10p orinary
Sale
1,964
4.9497160 GBP
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10p orinary
Sale
,633
4.910160 GBP
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10p orinary
Sale
9,42
4.9430160 GBP
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10p orinary
Sale
14,863
4.9303160 GBP
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10p orinary
Sale
14,977
4.9438160 GBP
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10p orinary
Sale
19,60
4.9429160 GBP
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10p orinary
Sale
23,822
4.940160 GBP
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10p orinary
Sale
32,717
4.9372160 GBP
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10p orinary
Sale
0,493
4.9384160 GBP
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10p orinary
Sale
,361
4.9300160 GBP
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(b)
Cash-settle erivative transactions
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Class of
Prouct
Nature of ealing
Number of
Price per
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relevant
escription
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reference
unit
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security
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securities
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10p orinary
SWAP
Long
82
4.9398160 GBP
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10p orinary
SWAP
Long
171
4.9339160 GBP
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10p orinary
SWAP
Long
308
4.9440160 GBP
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10p orinary
SWAP
Long
38
4.941160 GBP
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10p orinary
SWAP
Long
33
4.9323160 GBP
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10p orinary
CFD
Long
1,40
100.497160 ZAR
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10p orinary
SWAP
Long
4,44
100.4649160 ZAR
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10p orinary
SWAP
Long
4,929
4.9393160 GBP
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10p orinary
SWAP
Long
,822
4.9428160 GBP
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10p orinary
SWAP
Long
6,391
100.821160 ZAR
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10p orinary
SWAP
Long
9,004
100.9988160 ZAR
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10p orinary
SWAP
Long
9,371
4.9431160 GBP
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10p orinary
SWAP
Long
12,90
4.9299160 GBP
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10p orinary
SWAP
Long
14,863
4.9304160 GBP
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10p orinary
SWAP
Long
14,863
100.2000160 ZAR
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10p orinary
CFD
Long
1,763
100.996160 ZAR
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10p orinary
SWAP
Long
18,000
4.9397160 GBP
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10p orinary
SWAP
Long
19,60
4.9429160 GBP
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10p orinary
SWAP
Long
19,94
4.9420160 GBP
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10p orinary
SWAP
Long
19,66
100.9463160 ZAR
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10p orinary
CFD
Long
68,917
4.940160 GBP
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10p orinary
SWAP
Long
72,398
100.6603160 ZAR
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10p orinary
CFD
Long
31,849
100.999160 ZAR
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10p orinary
SWAP
Short
28
4.9461160 GBP
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10p orinary
SWAP
Short
39
4.9474160 GBP
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10p orinary
SWAP
Short
1,000
4.9743160 GBP
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10p orinary
SWAP
Short
1,03
4.9406160 GBP
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10p orinary
CFD
Short
3,491
100.1780160 ZAR
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10p orinary
SWAP
Short
4,44
100.4649160 ZAR
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10p orinary
SWAP
Short
6,391
100.821160 ZAR
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10p orinary
CFD
Short
6,603
100.9479160 ZAR
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10p orinary
SWAP
Short
9,004
100.9988160 ZAR
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10p orinary
SWAP
Short
13,012
4.9397160 GBP
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10p orinary
SWAP
Short
14,863
100.2000160 ZAR
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10p orinary
CFD
Short
18,829
4.9438160 GBP
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10p orinary
SWAP
Short
19,66
100.9463160 ZAR
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10p orinary
SWAP
Short
22,17
4.9422160 GBP
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10p orinary
SWAP
Short
2,382
4.926160 GBP
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10p orinary
SWAP
Short
36,30
4.9411160 GBP
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10p orinary
SWAP
Short
37,086
4.921160 GBP
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10p orinary
CFD
Short
72,398
100.690160 ZAR
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10p orinary
SWAP
Short
31,849
101.0262160 ZAR
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10p orinary
CFD
Short
316,47
4.9476160 GBP
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(c)
Stock-settle erivative transactions (incluing options)
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(i)
Writing, selling, purchasing or varying
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Class
Prouct
Writing,
Number
Exercise
Type
Expiry
Option
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of
escription
purchasing,
of
price
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ate
money
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relevant
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selling,
securities
per unit
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pai/
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security
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varying etc
to which
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receive
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option
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per unit
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relates
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(ii)
Exercising
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Class of relevant
Prouct escription
Exercising/ exercise against
Number of
Exercise price per
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security
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securities
unit
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()
Other ealings (incluing subscribing for new securities)
160
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Class of relevant
Nature of Dealings
Details
Price per unit (if
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security
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applicable)
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4.
OTHER INFORMATION
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(a)
Inemnity an other ealings arrangements
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Details of any inemnity or option arrangement, or any agreement or unerstaning,
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formal or informal, relating to relevant securities which may be an inucement to eal
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or refrain from ealing entere into by the exempt principal traer making the isclosure an any party
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to the offer or any person acting in concert with a party to the offer:
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NONE
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(b)
Agreements, arrangements or unerstanings relating to options or erivatives
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Details of any agreement, arrangement or unerstaning, formal or informal, between
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the person making the isclosure an any other person relating to:
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(i)160 the voting rights of any relevant securities uner any option or
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(ii) the voting rights of future acquisition or isposal of any relevant securities to which
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any erivative is reference:
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NONE
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(c)
Attachments
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Is a Supplemental Form 8 (Open Positions) attache?
NO
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Date of isclosure:
17 Oct 2022
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Contact name:
Large Holings Regulatory Operations
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Telephone number:
020 3134 7213
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