Become a Member
  • Track your favourite stocks
  • Create & monitor portfolios
  • Daily portfolio value
Sign Up
Quickpicks
Add shares to your
quickpicks to
display them here!

Form 8.3 - Sky Plc

19th Jul 2018 14:58

RNS Number : 2085V
BNP Paribas London
19 July 2018
 

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) Full name of discloser:

BNP PARIBAS GROUP 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. For a trust, the trustee(s), settlor and beneficiaries must be named.

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

Use a separate form for each offeror/offeree

SKY PLC

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

(e) Date position held/dealing undertaken:

For an opening position disclosure, state the latest practicable date prior to the disclosure

18th July 2018 (in addition BNPP has dealt on previous dates during the offer period as attached at the end of this form)

(f) In addition to the company in 1(c) above, is the discloser making disclosures in respect of any other party to the offer?

If it is a cash offer or possible cash offer, state "N/A"

NO

 

 

2. POSITIONS OF THE PERSON MAKING THE DISCLOSURE

 

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.

 

(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: GB0001411924 / US83084V1061)

 

 

Interests

Short positions

Number

%

Number

%

(1) Relevant securities owned and/or controlled:

49,626,520

2.89

(2) Cash-settled derivatives:

 

48,558,401

2.82

(3) Stock-settled derivatives (including options) and agreements to purchase/sell:

TOTAL:

 

49,626,520

2.89

48,558,401

2.82

 

All interests and all short positions should be disclosed.

 

Details of any open stock-settled derivative positions (including traded options), 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 employee options)

 

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

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

 

 

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

 

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.

 

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

 

(a) Purchases and sales

 

Class of relevant security

Purchase/sale

 

Number of securities

Price per unit

GB0001411924

Purchase

73

£15.2700

GB0001411924

Purchase

7923

£15.2900

GB0001411924

Purchase

3488

£15.2950

GB0001411924

Purchase

24226

£15.3100

GB0001411924

Sale

958

£15.2550

GB0001411924

Sale

965

£15.2800

 

 

(b) Cash-settled derivative transactions

 

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) Stock-settled derivative transactions (including options)

 

(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

 

(ii) Exercise

 

Class of relevant security

Product description

e.g. call option

Exercising/ exercised against

Number of securities

Exercise price per unit

 

 

 

(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)

 

 

 

 

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:

Irrevocable commitments and letters of intent should not be included. 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?

NO

 

 

Date of disclosure:

19th July 2018

Contact name:

Gareth Truong

Telephone number:

0207 595 9695

 

Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service.

 

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.

 

 

 

Class of relevant security

Date Traded

Purchase/sale

 

Number of securities

Price per unit

GB0001411924

20/06/2018

Purchase

1460

£13.4300

GB0001411924

20/06/2018

Purchase

1995

£13.4350

GB0001411924

20/06/2018

Purchase

8759

£13.4400

GB0001411924

20/06/2018

Purchase

394

£13.6250

GB0001411924

20/06/2018

Purchase

50000

£13.6582

GB0001411924

20/06/2018

Purchase

2095

£13.6700

GB0001411924

20/06/2018

Purchase

50000

£13.6792

GB0001411924

20/06/2018

Purchase

150000

£13.7545

GB0001411924

20/06/2018

Purchase

900000

£13.7583

GB0001411924

20/06/2018

Purchase

1000000

£13.7886

GB0001411924

20/06/2018

Purchase

1543

£13.7900

GB0001411924

20/06/2018

Purchase

1000000

£13.7943

GB0001411924

20/06/2018

Purchase

100000

£13.7944

GB0001411924

20/06/2018

Purchase

5365

£13.8000

GB0001411924

20/06/2018

Purchase

1057670

£13.8047

GB0001411924

20/06/2018

Purchase

3657

£13.8050

GB0001411924

20/06/2018

Purchase

150000

£13.8052

GB0001411924

20/06/2018

Purchase

150000

£13.8080

GB0001411924

20/06/2018

Purchase

200000

£13.8083

GB0001411924

20/06/2018

Purchase

3832

£13.8100

GB0001411924

20/06/2018

Purchase

848

£13.8150

GB0001411924

20/06/2018

Purchase

1293

£13.8250

GB0001411924

20/06/2018

Purchase

247419

£13.8297

GB0001411924

20/06/2018

Purchase

16000

£13.8312

GB0001411924

20/06/2018

Purchase

1303201

£13.8341

GB0001411924

20/06/2018

Purchase

4118

£13.8350

GB0001411924

20/06/2018

Purchase

5284

£13.8400

GB0001411924

20/06/2018

Purchase

50000

£13.8471

GB0001411924

20/06/2018

Purchase

178000

£13.8583

GB0001411924

20/06/2018

Purchase

20000

£13.8639

GB0001411924

20/06/2018

Sale

100000

£13.3466

GB0001411924

20/06/2018

Sale

39805

£13.4300

GB0001411924

20/06/2018

Sale

17500

£13.6264

GB0001411924

20/06/2018

Sale

1587

£13.6700

GB0001411924

20/06/2018

Sale

19903

£13.8085

GB0001411924

21/06/2018

Purchase

6265

£13.9200

GB0001411924

21/06/2018

Purchase

1000

£13.9250

GB0001411924

21/06/2018

Purchase

4182

£13.9300

GB0001411924

21/06/2018

Purchase

250000

£13.9336

GB0001411924

21/06/2018

Purchase

273000

£13.9698

GB0001411924

21/06/2018

Purchase

783844

£13.9720

GB0001411924

21/06/2018

Purchase

6483

£13.9750

GB0001411924

21/06/2018

Purchase

7372

£13.9950

GB0001411924

21/06/2018

Purchase

1696416

£13.9994

GB0001411924

21/06/2018

Purchase

1456163

£14.0009

GB0001411924

21/06/2018

Purchase

7309

£14.0050

GB0001411924

21/06/2018

Purchase

25000

£14.0160

GB0001411924

21/06/2018

Purchase

959649

£14.0298

GB0001411924

21/06/2018

Sale

351

£13.9300

GB0001411924

21/06/2018

Sale

2432

£13.9550

GB0001411924

21/06/2018

Sale

3205

£13.9700

GB0001411924

21/06/2018

Sale

3686

£13.9800

GB0001411924

21/06/2018

Sale

27187

£13.9850

GB0001411924

21/06/2018

Sale

5434

£13.9900

GB0001411924

21/06/2018

Sale

8686

£13.9950

GB0001411924

21/06/2018

Sale

13724

£14.0000

GB0001411924

21/06/2018

Sale

3595

£14.0050

GB0001411924

21/06/2018

Sale

456

£14.0100

GB0001411924

21/06/2018

Sale

25000

£14.0216

GB0001411924

21/06/2018

Sale

26926

£14.0500

GB0001411924

22/06/2018

Purchase

701028

£14.0300

GB0001411924

22/06/2018

Purchase

896

£14.0400

GB0001411924

22/06/2018

Purchase

4116

£14.0500

GB0001411924

22/06/2018

Purchase

1611

£14.0750

GB0001411924

22/06/2018

Purchase

1187

£14.1100

GB0001411924

22/06/2018

Purchase

205574

£14.1163

GB0001411924

22/06/2018

Purchase

2388

£14.1200

GB0001411924

22/06/2018

Purchase

2842

£14.1300

GB0001411924

22/06/2018

Purchase

817

£14.1350

GB0001411924

22/06/2018

Purchase

500000

£14.1474

GB0001411924

22/06/2018

Purchase

11949

£14.1500

GB0001411924

22/06/2018

Purchase

51987

£14.1514

GB0001411924

22/06/2018

Purchase

7219

£14.1550

GB0001411924

22/06/2018

Purchase

2161123

£14.1636

GB0001411924

22/06/2018

Purchase

7348

£14.1650

GB0001411924

22/06/2018

Purchase

565000

£14.1697

GB0001411924

22/06/2018

Purchase

4636

£14.1700

GB0001411924

22/06/2018

Purchase

3885

£14.1750

GB0001411924

22/06/2018

Purchase

6289

£14.1800

GB0001411924

22/06/2018

Purchase

6902

£14.1850

GB0001411924

22/06/2018

Purchase

7845

£14.1900

GB0001411924

22/06/2018

Purchase

938

£14.1950

GB0001411924

22/06/2018

Sale

1484579

£14.0300

GB0001411924

22/06/2018

Sale

17500

£14.1588

GB0001411924

22/06/2018

Sale

15000

£14.1627

GB0001411924

22/06/2018

Sale

19903

£14.1798

GB0001411924

22/06/2018

Sale

39805

£14.1844

GB0001411924

25/06/2018

Purchase

313

£14.1500

GB0001411924

25/06/2018

Purchase

300000

£14.1538

GB0001411924

25/06/2018

Purchase

203500

£14.1644

GB0001411924

25/06/2018

Sale

17500

£14.1304

GB0001411924

25/06/2018

Sale

951

£14.1450

GB0001411924

25/06/2018

Sale

15828

£14.1500

GB0001411924

25/06/2018

Sale

2583

£14.1550

GB0001411924

25/06/2018

Sale

396

£14.1600

GB0001411924

25/06/2018

Sale

1403

£14.1650

GB0001411924

25/06/2018

Sale

625

£14.1800

GB0001411924

25/06/2018

Sale

5265000

£14.2000

GB0001411924

26/06/2018

Purchase

213547

£14.1621

GB0001411924

26/06/2018

Purchase

9159

£14.3650

GB0001411924

26/06/2018

Purchase

3353

£14.3800

GB0001411924

26/06/2018

Purchase

25000

£14.4394

GB0001411924

26/06/2018

Sale

1860

£14.1900

GB0001411924

26/06/2018

Sale

17500

£14.4011

GB0001411924

27/06/2018

Purchase

1590

£14.3800

GB0001411924

27/06/2018

Purchase

2078

£14.3900

GB0001411924

27/06/2018

Purchase

200000

£14.3928

GB0001411924

27/06/2018

Purchase

1601

£14.3950

GB0001411924

27/06/2018

Purchase

954

£14.4000

GB0001411924

27/06/2018

Purchase

600000

£14.4028

GB0001411924

27/06/2018

Purchase

150000

£14.4036

GB0001411924

27/06/2018

Purchase

131

£14.4100

GB0001411924

27/06/2018

Purchase

292

£14.4150

GB0001411924

27/06/2018

Purchase

100000

£14.4186

GB0001411924

27/06/2018

Purchase

6801

£14.4200

GB0001411924

27/06/2018

Purchase

1783

£14.4250

GB0001411924

27/06/2018

Purchase

1232

£14.4600

GB0001411924

27/06/2018

Purchase

146

£14.4650

GB0001411924

27/06/2018

Purchase

600

£14.4700

GB0001411924

27/06/2018

Purchase

582

£14.4900

GB0001411924

27/06/2018

Purchase

2170

£14.4950

GB0001411924

27/06/2018

Purchase

28154

£14.5300

GB0001411924

27/06/2018

Sale

20000

£14.3706

GB0001411924

27/06/2018

Sale

686

£14.3900

GB0001411924

27/06/2018

Sale

777

£14.4150

GB0001411924

27/06/2018

Sale

20000

£14.4221

GB0001411924

27/06/2018

Sale

1472

£14.4400

GB0001411924

27/06/2018

Sale

100000

£14.4455

GB0001411924

27/06/2018

Sale

17500

£14.4541

GB0001411924

27/06/2018

Sale

3115

£14.4650

GB0001411924

27/06/2018

Sale

20746

£14.4700

GB0001411924

27/06/2018

Sale

1129

£14.4750

GB0001411924

27/06/2018

Sale

16157

£14.4926

GB0001411924

27/06/2018

Sale

4884

£14.4950

GB0001411924

28/06/2018

Purchase

365

£14.4600

GB0001411924

28/06/2018

Purchase

730

£14.4650

GB0001411924

28/06/2018

Purchase

201

£14.4750

GB0001411924

28/06/2018

Purchase

790

£14.4850

GB0001411924

28/06/2018

Purchase

6069

£14.4950

GB0001411924

28/06/2018

Purchase

10494

£14.5000

GB0001411924

28/06/2018

Purchase

293

£14.5050

GB0001411924

28/06/2018

Purchase

6355

£14.5100

GB0001411924

28/06/2018

Purchase

1261

£14.5200

GB0001411924

28/06/2018

Purchase

2157

£14.5350

GB0001411924

28/06/2018

Sale

156

£14.2550

GB0001411924

28/06/2018

Sale

25000

£14.4555

GB0001411924

28/06/2018

Sale

122

£14.4650

GB0001411924

28/06/2018

Sale

25000

£14.4655

GB0001411924

28/06/2018

Sale

3675

£14.4700

GB0001411924

28/06/2018

Sale

433

£14.4750

GB0001411924

28/06/2018

Sale

17500

£14.4773

GB0001411924

28/06/2018

Sale

541

£14.4850

GB0001411924

28/06/2018

Sale

6913

£14.4900

GB0001411924

28/06/2018

Sale

7546

£14.4950

GB0001411924

28/06/2018

Sale

789

£14.5000

GB0001411924

28/06/2018

Sale

803

£14.5050

GB0001411924

28/06/2018

Sale

3568

£14.5100

GB0001411924

28/06/2018

Sale

1542

£14.5150

GB0001411924

28/06/2018

Sale

265

£14.5300

GB0001411924

28/06/2018

Sale

3118

£14.5350

GB0001411924

28/06/2018

Sale

730

£14.5450

GB0001411924

28/06/2018

Sale

365

£14.5500

GB0001411924

29/06/2018

Purchase

40

£14.4850

GB0001411924

29/06/2018

Purchase

341

£14.4950

GB0001411924

29/06/2018

Purchase

127

£14.5150

GB0001411924

29/06/2018

Purchase

578

£14.5250

GB0001411924

29/06/2018

Purchase

1832

£14.5300

GB0001411924

29/06/2018

Purchase

537

£14.5400

GB0001411924

29/06/2018

Purchase

199

£14.5550

GB0001411924

29/06/2018

Purchase

26487

£14.5726

GB0001411924

29/06/2018

Purchase

4279

£14.5900

GB0001411924

29/06/2018

Purchase

379

£14.6000

GB0001411924

29/06/2018

Purchase

6757

£14.6150

GB0001411924

29/06/2018

Purchase

1128

£14.6200

GB0001411924

29/06/2018

Sale

17500

£14.5773

GB0001411924

29/06/2018

Sale

869

£14.6100

GB0001411924

02/07/2018

Purchase

2453

£14.5500

GB0001411924

02/07/2018

Purchase

1226

£14.5550

GB0001411924

02/07/2018

Purchase

533

£14.5600

GB0001411924

02/07/2018

Purchase

623

£14.5650

GB0001411924

02/07/2018

Purchase

400

£14.5850

GB0001411924

02/07/2018

Purchase

933

£14.5900

GB0001411924

02/07/2018

Purchase

1202

£14.5950

GB0001411924

02/07/2018

Purchase

699

£14.6000

GB0001411924

02/07/2018

Purchase

330

£14.6100

GB0001411924

02/07/2018

Sale

2662

£14.5400

GB0001411924

02/07/2018

Sale

5235

£14.5450

GB0001411924

02/07/2018

Sale

8808

£14.5500

GB0001411924

02/07/2018

Sale

1389

£14.5550

GB0001411924

02/07/2018

Sale

5068

£14.5600

GB0001411924

02/07/2018

Sale

17913

£14.5650

GB0001411924

02/07/2018

Sale

10744

£14.5700

GB0001411924

02/07/2018

Sale

7727

£14.5725

GB0001411924

02/07/2018

Sale

16072

£14.5750

GB0001411924

02/07/2018

Sale

16508

£14.5800

GB0001411924

02/07/2018

Sale

1659

£14.5850

GB0001411924

02/07/2018

Sale

4779

£14.6000

GB0001411924

02/07/2018

Sale

1394

£14.6200

GB0001411924

02/07/2018

Sale

8855

£14.6250

GB0001411924

02/07/2018

Sale

17500

£14.6259

GB0001411924

02/07/2018

Sale

9299

£14.6400

GB0001411924

02/07/2018

Sale

18386

£14.6450

GB0001411924

02/07/2018

Sale

1047

£14.6550

GB0001411924

02/07/2018

Sale

2557

£14.6650

GB0001411924

02/07/2018

Sale

637

£14.6700

GB0001411924

02/07/2018

Sale

230

£14.6750

GB0001411924

02/07/2018

Sale

863

£14.6800

GB0001411924

03/07/2018

Purchase

1693

£14.5450

GB0001411924

03/07/2018

Purchase

2563

£14.5500

GB0001411924

03/07/2018

Purchase

6588

£14.5550

GB0001411924

03/07/2018

Purchase

3260

£14.5600

GB0001411924

03/07/2018

Purchase

7583

£14.5900

GB0001411924

03/07/2018

Purchase

3338

£14.6000

GB0001411924

03/07/2018

Sale

1749

£14.5600

GB0001411924

03/07/2018

Sale

1936

£14.5800

GB0001411924

03/07/2018

Sale

2710

£14.5950

GB0001411924

03/07/2018

Sale

25000

£14.6054

GB0001411924

03/07/2018

Sale

3855

£14.6200

GB0001411924

04/07/2018

Sale

4314

£14.6000

GB0001411924

04/07/2018

Sale

2811

£14.5750

GB0001411924

04/07/2018

Sale

310

£14.5900

GB0001411924

04/07/2018

Sale

849

£14.6100

GB0001411924

05/07/2018

Purchase

10654

£14.4410

GB0001411924

05/07/2018

Purchase

350746

£14.4560

GB0001411924

05/07/2018

Purchase

160000

£14.4587

GB0001411924

05/07/2018

Purchase

28733

£14.4650

GB0001411924

05/07/2018

Purchase

1382

£14.5300

GB0001411924

05/07/2018

Purchase

305

£14.5400

GB0001411924

05/07/2018

Purchase

1733

£14.5600

GB0001411924

05/07/2018

Purchase

808

£14.5750

GB0001411924

05/07/2018

Purchase

282

£14.5900

GB0001411924

05/07/2018

Purchase

129

£14.6050

GB0001411924

05/07/2018

Purchase

1065

£14.6150

GB0001411924

05/07/2018

Sale

9310

£14.4250

GB0001411924

05/07/2018

Sale

17500

£14.4309

GB0001411924

05/07/2018

Sale

350

£14.4550

GB0001411924

05/07/2018

Sale

723

£14.4650

GB0001411924

05/07/2018

Sale

1138

£14.5950

GB0001411924

06/07/2018

Purchase

1056

£14.4750

GB0001411924

06/07/2018

Purchase

539

£14.4850

GB0001411924

06/07/2018

Purchase

1035

£14.5000

GB0001411924

06/07/2018

Purchase

1252

£14.5050

GB0001411924

06/07/2018

Purchase

3074

£14.5600

GB0001411924

06/07/2018

Sale

2864

£14.4600

GB0001411924

06/07/2018

Sale

17500

£14.4711

GB0001411924

06/07/2018

Sale

25000

£14.5300

GB0001411924

06/07/2018

Sale

1252

£14.5600

GB0001411924

09/07/2018

Purchase

473

£14.6000

GB0001411924

09/07/2018

Purchase

1050

£14.6200

GB0001411924

09/07/2018

Purchase

2929

£14.6500

GB0001411924

09/07/2018

Purchase

2292

£14.6550

GB0001411924

09/07/2018

Purchase

146

£14.6750

GB0001411924

09/07/2018

Purchase

16633

£14.6850

GB0001411924

09/07/2018

Sale

471

£14.5750

GB0001411924

09/07/2018

Sale

2128750

£14.5850

GB0001411924

09/07/2018

Sale

17500

£14.6445

GB0001411924

10/07/2018

Purchase

1748

£14.9000

GB0001411924

10/07/2018

Purchase

75000

£14.9249

GB0001411924

10/07/2018

Purchase

1489

£14.9300

GB0001411924

10/07/2018

Purchase

2721

£14.9350

GB0001411924

10/07/2018

Purchase

50000

£14.9645

GB0001411924

10/07/2018

Purchase

4815

£15.0000

GB0001411924

10/07/2018

Purchase

75000

£15.0100

GB0001411924

10/07/2018

Purchase

295

£15.0150

GB0001411924

10/07/2018

Sale

4388

£14.9000

GB0001411924

10/07/2018

Sale

17500

£14.9693

GB0001411924

10/07/2018

Sale

71807

£14.9700

GB0001411924

10/07/2018

Sale

19946

£14.9890

GB0001411924

11/07/2018

Purchase

1040

£14.8000

GB0001411924

11/07/2018

Purchase

5358

£14.9400

GB0001411924

11/07/2018

Purchase

50000

£14.9775

GB0001411924

11/07/2018

Purchase

604

£15.0300

GB0001411924

11/07/2018

Sale

25000

£14.6853

GB0001411924

11/07/2018

Sale

752

£14.7900

GB0001411924

11/07/2018

Sale

155000

£14.8240

GB0001411924

11/07/2018

Sale

1496

£14.8300

GB0001411924

11/07/2018

Sale

1730

£14.8800

GB0001411924

11/07/2018

Sale

824

£14.8850

GB0001411924

11/07/2018

Sale

1132

£14.8950

GB0001411924

11/07/2018

Sale

600

£14.9050

GB0001411924

11/07/2018

Sale

1002

£14.9100

GB0001411924

11/07/2018

Sale

33671

£14.9400

GB0001411924

11/07/2018

Sale

716

£15.0000

GB0001411924

11/07/2018

Sale

17500

£15.0260

GB0001411924

11/07/2018

Sale

75000

£15.0343

GB0001411924

11/07/2018

Sale

747

£15.1400

GB0001411924

11/07/2018

Sale

2411

£15.1950

GB0001411924

12/07/2018

Purchase

1386

£15.2200

GB0001411924

12/07/2018

Purchase

2064

£15.2800

GB0001411924

12/07/2018

Purchase

100000

£15.2822

GB0001411924

12/07/2018

Purchase

8710

£15.2850

GB0001411924

12/07/2018

Purchase

6259

£15.2900

GB0001411924

12/07/2018

Purchase

525000

£15.3122

GB0001411924

12/07/2018

Purchase

377

£15.3250

GB0001411924

12/07/2018

Purchase

1122

£15.3300

GB0001411924

12/07/2018

Purchase

1701

£15.3350

GB0001411924

12/07/2018

Purchase

10623

£15.3400

GB0001411924

12/07/2018

Purchase

3834

£15.3450

GB0001411924

12/07/2018

Purchase

2000000

£15.3498

GB0001411924

12/07/2018

Purchase

9185

£15.3500

GB0001411924

12/07/2018

Purchase

37913

£15.3550

GB0001411924

12/07/2018

Purchase

3613

£15.3600

GB0001411924

12/07/2018

Purchase

263500

£15.3623

GB0001411924

12/07/2018

Purchase

300000

£15.3652

GB0001411924

12/07/2018

Purchase

2571

£15.3950

GB0001411924

12/07/2018

Purchase

100000

£15.3954

GB0001411924

12/07/2018

Purchase

1000

£15.4150

GB0001411924

12/07/2018

Purchase

15060

£15.4500

GB0001411924

12/07/2018

Sale

1182

£15.2000

GB0001411924

12/07/2018

Sale

3552

£15.2050

GB0001411924

12/07/2018

Sale

5758

£15.2100

GB0001411924

12/07/2018

Sale

2289

£15.2150

GB0001411924

12/07/2018

Sale

2203

£15.2650

GB0001411924

12/07/2018

Sale

581

£15.2750

GB0001411924

12/07/2018

Sale

1223

£15.2800

GB0001411924

12/07/2018

Sale

45000

£15.3396

GB0001411924

12/07/2018

Sale

3833978

£15.3500

GB0001411924

12/07/2018

Sale

17500

£15.3556

GB0001411924

12/07/2018

Sale

2869

£15.4600

GB0001411924

13/07/2018

Purchase

3722

£15.3500

GB0001411924

13/07/2018

Purchase

400

£15.3550

GB0001411924

13/07/2018

Purchase

500000

£15.3623

GB0001411924

13/07/2018

Purchase

3858

£15.3850

GB0001411924

13/07/2018

Purchase

4064

£15.3950

GB0001411924

13/07/2018

Purchase

29325

£15.4000

GB0001411924

13/07/2018

Purchase

1063

£15.4050

GB0001411924

13/07/2018

Purchase

1122

£15.4100

GB0001411924

13/07/2018

Purchase

3811

£15.4150

GB0001411924

13/07/2018

Purchase

3567

£15.4200

GB0001411924

13/07/2018

Purchase

3260

£15.4300

GB0001411924

13/07/2018

Purchase

300

£15.4350

GB0001411924

13/07/2018

Purchase

16288

£15.4400

GB0001411924

13/07/2018

Sale

1712

£15.3500

GB0001411924

13/07/2018

Sale

2992

£15.3650

GB0001411924

13/07/2018

Sale

735

£15.3800

GB0001411924

13/07/2018

Sale

16932

£15.3808

GB0001411924

13/07/2018

Sale

1872

£15.3900

GB0001411924

13/07/2018

Sale

4582

£15.3950

GB0001411924

13/07/2018

Sale

3011

£15.4000

GB0001411924

13/07/2018

Sale

5441

£15.4153

GB0001411924

13/07/2018

Sale

1469

£15.4200

GB0001411924

16/07/2018

Purchase

2250000

£15.1986

GB0001411924

16/07/2018

Purchase

2771

£15.2000

GB0001411924

16/07/2018

Purchase

6085

£15.2050

GB0001411924

16/07/2018

Purchase

350000

£15.2191

GB0001411924

16/07/2018

Purchase

400000

£15.2216

GB0001411924

16/07/2018

Purchase

100000

£15.2302

GB0001411924

16/07/2018

Purchase

7662

£15.2400

GB0001411924

16/07/2018

Purchase

3285000

£15.2494

GB0001411924

16/07/2018

Purchase

1750000

£15.2722

GB0001411924

16/07/2018

Purchase

350000

£15.2726

GB0001411924

16/07/2018

Purchase

2853

£15.3050

GB0001411924

16/07/2018

Purchase

250000

£15.3543

GB0001411924

16/07/2018

Purchase

51

£15.3550

GB0001411924

16/07/2018

Sale

25000

£15.1748

GB0001411924

16/07/2018

Sale

25000

£15.1864

GB0001411924

16/07/2018

Sale

150000

£15.2797

GB0001411924

16/07/2018

Sale

344

£15.3000

GB0001411924

16/07/2018

Sale

8425

£15.3500

GB0001411924

16/07/2018

Sale

1080

£15.3550

GB0001411924

16/07/2018

Sale

2311

£15.3600

GB0001411924

16/07/2018

Sale

13765

£15.3650

GB0001411924

16/07/2018

Sale

1941

£15.3800

GB0001411924

16/07/2018

Sale

1659

£15.3850

GB0001411924

16/07/2018

Sale

2287

£15.3950

GB0001411924

17/07/2018

Purchase

826660

£15.2091

GB0001411924

17/07/2018

Purchase

1907

£15.2250

GB0001411924

17/07/2018

Purchase

3572

£15.2300

GB0001411924

17/07/2018

Purchase

1413

£15.2350

GB0001411924

17/07/2018

Purchase

1063

£15.2450

GB0001411924

17/07/2018

Purchase

550000

£15.2472

GB0001411924

17/07/2018

Sale

451

£15.2300

GB0001411924

17/07/2018

Sale

417

£15.2350

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.
 
END
 
 
RETBXGDRLUBBGIC

Related Shares:

Sky
FTSE 100 Latest
Value8,417.34
Change2.09