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Form 8.5 (EPT/NON-RI)

28th Aug 2014 10:47

RNS Number : 2305Q
Citigroup Derivatives Markets Inc
28 August 2014
 



FORM 8.5 (EPT/NON-RI)

Amendment to section 3 (a) & 4 (c)

 

PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY AN

EXEMPT PRINCIPAL TRADER WITHOUT RECOGNISED INTERMEDIARY ("RI") STATUS (OR WHERE RI STATUS IS NOT APPLICABLE)

Rule 8.5 of the Takeover Code (the "Code")

 

1. KEY INFORMATION

 

(a) Name of exempt principal trader:

Citigroup Derivatives Markets Inc.

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

Use a separate form for each offeror/offeree

Shire Plc

(c) Name of the party to the offer with which exempt principal trader is connected:

Shire Plc

(d) Date position held/dealing undertaken:

27 June 2014

(e) Has the EPT previously disclosed, or is it today disclosing, under the Code in respect of any other party to this offer?

YES

 

2. POSITIONS OF THE EXEMPT PRINCIPAL TRADER

 

(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:

 

ADS

 

 

Interests

Short positions

Number

%

Number

%

(1) Relevant securities owned and/or controlled:

26,139

0.00%

30,292

0.00%

(2) Derivatives (other than options):

(3) Options and agreements to purchase/sell:

206,700

0.03%

226,100

0.03%

 

TOTAL:

232,839

0.03%

256,392

0.03%

 

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(b), copy table 2(a) or (b) (as appropriate) for each additional class of relevant security.

 

3. DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER

 

(a) Purchases and sales

 

Class of relevant security

Purchase/sale

 

Number of securities

Price per unit

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

500

233.3

ADS

Purchase

300

233.32

ADS

Purchase

200

234.59

ADS

Purchase

200

233.32

ADS

Purchase

200

233.31

ADS

Purchase

91

234.58

ADS

Purchase

34

234.64

ADS

Purchase

66

234.64

ADS

Purchase

109

234.6

ADS

Purchase

100

234.64

ADS

Purchase

100

234.64

ADS

Purchase

100

234.59

ADS

Purchase

100

234.59

ADS

Purchase

100

234.58

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

100

233.356

ADS

Purchase

100

233.35

ADS

Purchase

100

233.35

ADS

Purchase

100

233.33

ADS

Purchase

100

233.32

ADS

Purchase

100

233.32

ADS

Purchase

100

233.32

ADS

Purchase

100

233.285

ADS

Purchase

100

233.28

ADS

Purchase

100

233.27

ADS

Sale

100

235.56

ADS

Purchase

100

233.36

ADS

Purchase

100

233.36

ADS

Purchase

100

233.36

ADS

Purchase

100

233.36

ADS

Purchase

100

233.36

ADS

Purchase

100

233.36

 

(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

Expiry date

Option money paid/ received per unit

e.g. American, European etc.

ADS

Call

Selling

-100

235

European

17/01/2015

19.3

ADS

Call

Selling

-100

235

European

17/01/2015

19.27

ADS

Call

Selling

-100

240

European

16/08/2014

11.7

ADS

Call

Selling

-100

240

European

16/08/2014

11.7

ADS

Call

Selling

-100

240

European

16/08/2014

11.7

ADS

Call

Selling

-100

240

European

16/08/2014

11.6

ADS

Put

Purchasing

-100

200

European

19/07/2014

0.6

ADS

Call

Selling

-100

200

European

19/07/2014

35.44

ADS

Call

Selling

-100

230

European

16/08/2014

16.5

ADS

Call

Selling

-100

200

European

19/07/2014

35.63

ADS

Call

Selling

-100

230

European

16/08/2014

16.5

ADS

Call

Selling

-100

200

European

19/07/2014

35.54

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

230

European

16/08/2014

16

ADS

Call

Selling

-100

235

European

16/08/2014

13.5

ADS

Call

Selling

-100

230

European

19/07/2014

13.4

ADS

Call

Selling

-100

230

European

19/07/2014

13.4

ADS

Call

Selling

-100

230

European

19/07/2014

13.4

 

(ii) Exercising

 

Class of relevant security

Product description

e.g. call option

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)

 

 

 

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(b), 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 exempt principal trader 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 exempt principal trader 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:

28 August 2014

Contact name:

Karen Hooke

Telephone number:

44(028)95 954900

 

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.

SUPPLEMENTAL FORM 8 (OPEN POSITIONS)

 

 

DETAILS OF OPEN OPTION AND DERIVATIVE POSITIONS, AGREEMENTS TO PURCHASE OR SELL ETC.

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

 

 

1. KEY INFORMATION

 

Identity of person whose open positions are being disclosed:

Citigroup Derivatives Markets Inc.

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

Shire Plc

 

2. OPTIONS AND DERIVATIVES

 

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

Expiry date

Option money paid/ received per unit

ADS

Call

Written

-9500

240

European

2014-10-18

13.95

ADS

Put

Purchased

-19000

195

European

2014-07-19

0.225

ADS

Call

Written

-6400

250

European

2014-07-19

5.15

ADS

Call

Written

-6000

240

European

2014-10-18

13.95

ADS

Call

Written

-4700

240

European

2014-07-19

8.65

ADS

Put

Purchased

-14700

195

European

2014-07-19

0.225

ADS

Call

Written

-4600

230

European

2014-07-19

13.25

ADS

Call

Written

-4500

190

European

2014-07-19

45.35

ADS

Call

Written

-3800

170

European

2014-07-19

65.1

ADS

Call

Written

-3600

240

European

2014-07-19

8.65

ADS

Put

Purchased

-3000

105

European

2015-01-17

0.2

ADS

Put

Purchased

-2600

230

European

2014-07-19

8.5

ADS

Put

Purchased

-2100

120

European

2014-10-18

0.075

ADS

Put

Purchased

-1900

115

European

2014-10-18

0.05

ADS

Call

Written

-3500

240

European

2014-10-18

13.95

ADS

Call

Written

-2700

195

European

2014-07-19

40.45

ADS

Put

Purchased

-1700

150

European

2014-07-19

0.075

ADS

Call

Written

-2700

230

European

2014-07-19

13.25

ADS

Call

Written

-2600

230

European

2014-08-16

16.85

ADS

Put

Purchased

-1100

95

European

2014-10-18

0.05

ADS

Call

Written

-2500

165

European

2014-07-19

70

ADS

Put

Purchased

-1000

90

European

2015-01-17

0.05

ADS

Call

Written

-2500

270

European

2014-07-19

1.125

ADS

Call

Written

-2400

240

European

2014-07-19

8.65

ADS

Call

Written

-2300

200

European

2014-07-19

35.7

ADS

Call

Written

-2100

270

European

2014-07-19

1.125

ADS

Call

Written

-2000

200

European

2014-07-19

35.7

ADS

Call

Written

-2000

270

European

2014-07-19

1.125

ADS

Call

Written

-1700

235

European

2014-07-19

10.9

ADS

Call

Written

-1700

240

European

2014-07-19

8.65

ADS

Call

Written

-1600

165

European

2014-07-19

70

ADS

Call

Written

-1500

170

European

2014-07-19

65.1

ADS

Call

Written

-1200

195

European

2014-07-19

40.45

ADS

Call

Written

-1100

155

European

2014-07-19

80.05

ADS

Call

Written

-1100

160

European

2014-10-18

75.45

ADS

Call

Written

-1000

240

European

2014-07-19

8.65

ADS

Call

Written

-1000

265

European

2014-07-19

1.675

ADS

Call

Written

-1000

185

European

2014-10-18

51.9

ADS

Call

Written

-1000

185

European

2014-10-18

51.9

ADS

Put

Purchased

-1000

95

European

2015-01-17

0.05

ADS

Put

Purchased

-1000

205

European

2014-07-19

0.875

ADS

Put

Purchased

-1000

130

European

2014-10-18

0.2

ADS

Put

Purchased

-1000

230

European

2014-10-18

14.35

ADS

Put

Purchased

-800

115

European

2014-10-18

0.05

ADS

Put

Purchased

-600

230

European

2014-07-19

8.5

ADS

Put

Purchased

-600

225

European

2014-08-16

9.65

ADS

Put

Purchased

-500

180

European

2014-07-19

0.075

ADS

Call

Written

-800

210

European

2015-01-17

34.15

ADS

Call

Written

-700

270

European

2014-07-19

1.125

ADS

Call

Written

-600

230

European

2014-08-16

16.85

ADS

Call

Written

-600

240

European

2014-08-16

12.05

ADS

Call

Written

-600

250

European

2014-08-16

8.05

ADS

Put

Purchased

-400

160

European

2015-01-17

1.05

ADS

Put

Purchased

-400

100

European

2014-07-19

0.025

ADS

Put

Purchased

-400

135

European

2014-07-19

0.075

ADS

Put

Purchased

-400

205

European

2014-07-19

0.875

ADS

Put

Purchased

-400

145

European

2014-10-18

0.225

ADS

Put

Purchased

-400

170

European

2014-10-18

0.925

ADS

Put

Purchased

-300

180

European

2014-07-19

0.075

ADS

Put

Purchased

-300

150

European

2014-10-18

0.25

ADS

Put

Purchased

-300

90

European

2014-10-18

0.05

ADS

Call

Written

-400

125

European

2014-07-19

110.1

ADS

Call

Written

-400

235

European

2014-07-19

10.9

ADS

Put

Purchased

-200

190

European

2014-07-19

0.1

ADS

Put

Purchased

-200

225

European

2014-08-16

9.65

ADS

Call

Written

-400

200

European

2014-10-18

39.15

ADS

Put

Purchased

-200

100

European

2014-10-18

0.05

ADS

Put

Purchased

-200

130

European

2014-10-18

0.2

ADS

Put

Purchased

-200

150

European

2014-10-18

0.25

ADS

Put

Purchased

-100

150

European

2014-07-19

0.075

ADS

Put

Purchased

-100

165

European

2014-07-19

0.075

ADS

Put

Purchased

-100

190

European

2014-07-19

0.1

ADS

Call

Written

-300

210

European

2015-01-17

34.15

ADS

Call

Written

-300

220

European

2015-01-17

27.35

ADS

Call

Written

-300

150

European

2014-07-19

85.2

ADS

Put

Purchased

-100

190

European

2014-07-19

0.1

ADS

Call

Written

-300

190

European

2014-07-19

45.35

ADS

Call

Written

-300

235

European

2014-08-16

14.35

ADS

Call

Written

-300

230

European

2014-10-18

19.1

ADS

Call

Written

-200

130

European

2015-01-17

105.3

ADS

Put

Purchased

-100

200

European

2014-08-16

2.175

ADS

Put

Purchased

-100

220

European

2014-08-16

7.6

ADS

Put

Purchased

-100

145

European

2014-10-18

0.225

ADS

Put

Purchased

-100

150

European

2014-10-18

0.25

ADS

Put

Purchased

-100

155

European

2014-10-18

0.4824

ADS

Call

Written

-200

135

European

2015-01-17

100.4

ADS

Call

Written

-200

235

European

2015-01-17

18.85

ADS

Call

Written

-200

240

European

2015-01-17

16.3

ADS

Call

Written

-200

155

European

2014-07-19

80.05

ADS

Put

Purchased

-100

185

European

2014-10-18

1.95

ADS

Put

Purchased

-100

185

European

2014-10-18

1.95

ADS

Put

Purchased

-100

185

European

2014-10-18

1.95

ADS

Put

Purchased

-100

185

European

2014-10-18

1.95

ADS

Call

Written

-200

225

European

2014-08-16

19.65

ADS

Call

Written

-200

225

European

2014-08-16

19.65

ADS

Call

Written

-200

225

European

2014-08-16

19.65

ADS

Call

Written

-200

165

European

2014-10-18

70.65

ADS

Call

Written

-200

190

European

2014-10-18

47.45

ADS

Call

Written

-100

100

European

2015-01-17

135.25

ADS

Put

Written

100

170

European

2015-01-17

1.725

ADS

Put

Written

100

130

European

2014-07-19

0.05

ADS

Put

Written

100

145

European

2014-07-19

0.075

ADS

Put

Written

100

150

European

2014-07-19

0.075

ADS

Put

Written

100

150

European

2014-07-19

0.075

ADS

Put

Written

100

150

European

2014-07-19

0.075

ADS

Call

Written

-100

110

European

2015-01-17

125.45

ADS

Call

Written

-100

110

European

2015-01-17

125.45

ADS

Put

Written

100

150

European

2014-07-19

0.075

ADS

Put

Written

100

165

European

2014-07-19

0.075

ADS

Put

Written

100

165

European

2014-07-19

0.075

ADS

Put

Written

100

170

European

2014-07-19

0.15

ADS

Call

Written

-100

120

European

2015-01-17

115.35

ADS

Call

Written

-100

135

European

2015-01-17

100.4

ADS

Call

Written

-100

135

European

2015-01-17

100.4

ADS

Call

Written

-100

175

European

2015-01-17

62.2

ADS

Call

Written

-100

235

European

2015-01-17

18.85

ADS

Put

Written

100

170

European

2014-07-19

0.15

ADS

Put

Written

100

175

European

2014-07-19

0.15

ADS

Put

Written

100

180

European

2014-07-19

0.075

ADS

Put

Written

100

180

European

2014-07-19

0.075

ADS

Call

Written

-100

240

European

2015-01-17

16.3

ADS

Call

Written

-100

240

European

2015-01-17

16.3

ADS

Call

Written

-100

240

European

2015-01-17

16.3

ADS

Call

Written

-100

125

European

2014-07-19

110.1

ADS

Call

Written

-100

125

European

2014-07-19

110.1

ADS

Put

Written

100

185

European

2014-07-19

0.225

ADS

Put

Written

100

85

European

2014-07-19

0.05

ADS

Put

Written

100

210

European

2014-08-16

4.4

ADS

Put

Written

100

225

European

2014-08-16

9.65

ADS

Put

Written

100

140

European

2014-10-18

0.2

ADS

Put

Written

100

175

European

2014-10-18

1.1

ADS

Call

Written

-100

125

European

2014-07-19

110.1

ADS

Call

Written

-100

160

European

2014-07-19

75.05

ADS

Call

Written

-100

160

European

2014-07-19

75.05

ADS

Call

Written

-100

160

European

2014-07-19

75.05

ADS

Call

Written

-100

180

European

2014-07-19

55.1

ADS

Call

Written

-100

190

European

2014-07-19

45.35

ADS

Put

Written

100

175

European

2014-10-18

1.1

ADS

Put

Written

100

190

European

2014-10-18

2.55

ADS

Put

Written

100

190

European

2014-10-18

2.55

ADS

Put

Written

100

190

European

2014-10-18

2.55

ADS

Call

Written

-100

195

European

2014-07-19

40.45

ADS

Call

Written

-100

200

European

2014-07-19

35.7

ADS

Call

Written

-100

220

European

2014-08-16

22.55

ADS

Call

Written

-100

230

European

2014-08-16

16.85

ADS

Call

Written

-100

155

European

2014-10-18

80.4

ADS

Put

Written

100

200

European

2014-10-18

4

ADS

Put

Written

100

200

European

2014-10-18

4

ADS

Put

Written

100

260

European

2014-10-18

31.15

ADS

Put

Written

100

260

European

2014-10-18

31.15

ADS

Call

Written

-100

170

European

2014-10-18

65.8

ADS

Call

Purchased

100

180

European

2015-01-17

57.95

ADS

Call

Purchased

100

190

European

2015-01-17

49.35

ADS

Call

Purchased

100

250

European

2015-01-17

11.75

ADS

Put

Written

100

260

European

2014-10-18

31.15

ADS

Put

Written

200

120

European

2015-01-17

0.25

ADS

Put

Written

200

140

European

2015-01-17

0.4952

ADS

Put

Written

200

150

European

2015-01-17

0.6932

ADS

Put

Written

200

185

European

2015-01-17

2.9

ADS

Put

Written

200

195

European

2015-01-17

5.25

ADS

Put

Written

200

200

European

2015-01-17

6.35

ADS

Put

Written

200

140

European

2014-07-19

0.075

ADS

Put

Written

200

145

European

2014-07-19

0.075

ADS

Put

Written

200

160

European

2014-07-19

0.075

ADS

Put

Written

200

170

European

2014-07-19

0.15

ADS

Call

Purchased

100

275

European

2015-01-17

4.2

ADS

Call

Purchased

100

160

European

2014-07-19

75.05

ADS

Put

Written

200

185

European

2014-07-19

0.225

ADS

Put

Written

200

190

European

2014-07-19

0.1

ADS

Put

Written

200

170

European

2014-10-18

0.925

ADS

Put

Written

200

185

European

2014-10-18

1.95

ADS

Put

Written

200

195

European

2014-10-18

3.35

ADS

Call

Purchased

100

165

European

2014-07-19

70

ADS

Put

Written

200

195

European

2014-10-18

3.35

ADS

Put

Written

200

195

European

2014-10-18

3.35

ADS

Call

Purchased

100

165

European

2014-07-19

70

ADS

Call

Purchased

100

170

European

2014-07-19

65.1

ADS

Call

Purchased

100

220

European

2014-07-19

19.45

ADS

Call

Purchased

100

220

European

2014-07-19

19.45

ADS

Put

Written

200

260

European

2014-10-18

31.15

ADS

Put

Written

300

125

European

2014-07-19

0.025

ADS

Call

Purchased

100

230

European

2014-07-19

13.25

ADS

Call

Purchased

100

270

European

2014-08-16

2.875

ADS

Call

Purchased

100

270

European

2014-08-16

2.875

ADS

Call

Purchased

100

275

European

2014-08-16

2.125

ADS

Put

Written

300

135

European

2014-07-19

0.075

ADS

Put

Written

300

140

European

2014-07-19

0.075

ADS

Call

Purchased

100

145

European

2014-10-18

90.2

ADS

Call

Purchased

100

165

European

2014-10-18

70.65

ADS

Call

Purchased

100

180

European

2014-10-18

56.45

ADS

Call

Purchased

100

185

European

2014-10-18

51.9

ADS

Call

Purchased

100

190

European

2014-10-18

47.45

ADS

Call

Purchased

100

200

European

2014-10-18

39.15

ADS

Call

Purchased

100

220

European

2014-10-18

24.9

ADS

Call

Purchased

100

220

European

2014-10-18

24.9

ADS

Call

Purchased

100

220

European

2014-10-18

24.9

ADS

Call

Purchased

100

220

European

2014-10-18

24.9

ADS

Call

Purchased

100

265

European

2014-10-18

4.85

ADS

Call

Purchased

100

265

European

2014-10-18

4.85

ADS

Call

Purchased

100

265

European

2014-10-18

4.85

ADS

Call

Purchased

100

275

European

2014-10-18

2.775

ADS

Call

Purchased

100

275

European

2014-10-18

2.775

ADS

Call

Purchased

100

275

European

2014-10-18

2.775

ADS

Call

Purchased

200

190

European

2015-01-17

49.35

ADS

Call

Purchased

200

250

European

2015-01-17

11.75

ADS

Call

Purchased

200

125

European

2014-07-19

110.1

ADS

Call

Purchased

200

145

European

2014-07-19

90.15

ADS

Call

Purchased

200

175

European

2014-07-19

60

ADS

Call

Purchased

200

185

European

2014-07-19

50.1

ADS

Put

Written

300

185

European

2014-07-19

0.225

ADS

Put

Written

300

200

European

2014-07-19

0.5

ADS

Put

Written

300

215

European

2014-07-19

2.9

ADS

Put

Written

300

220

European

2014-07-19

4.2

ADS

Put

Written

300

225

European

2014-07-19

6.05

ADS

Put

Written

300

170

European

2014-10-18

0.925

ADS

Put

Written

400

100

European

2014-07-19

0.025

ADS

Call

Purchased

200

220

European

2014-07-19

19.45

ADS

Put

Written

400

135

European

2014-07-19

0.075

ADS

Call

Purchased

200

150

European

2014-10-18

85.25

ADS

Call

Purchased

200

160

European

2014-10-18

75.45

ADS

Call

Purchased

200

170

European

2014-10-18

65.8

ADS

Put

Written

400

160

European

2014-07-19

0.075

ADS

Put

Written

400

160

European

2014-07-19

0.075

ADS

Put

Written

400

170

European

2014-07-19

0.15

ADS

Call

Purchased

200

170

European

2014-10-18

65.8

ADS

Call

Purchased

200

175

European

2014-10-18

61.1

ADS

Call

Purchased

200

180

European

2014-10-18

56.45

ADS

Call

Purchased

200

210

European

2014-10-18

31.3

ADS

Call

Purchased

200

265

European

2014-10-18

4.85

ADS

Call

Purchased

200

275

European

2014-10-18

2.775

ADS

Call

Purchased

300

155

European

2014-07-19

80.05

ADS

Call

Purchased

300

170

European

2014-07-19

65.1

ADS

Call

Purchased

300

195

European

2014-07-19

40.45

ADS

Call

Purchased

300

245

European

2014-07-19

6.9

ADS

Put

Written

400

195

European

2014-08-16

1.475

ADS

Call

Purchased

300

240

European

2014-08-16

12.05

ADS

Put

Written

400

170

European

2014-10-18

0.925

ADS

Call

Purchased

300

265

European

2014-08-16

3.75

ADS

Call

Purchased

300

270

European

2014-08-16

2.875

ADS

Call

Purchased

300

270

European

2014-08-16

2.875

ADS

Call

Purchased

300

185

European

2014-10-18

51.9

ADS

Call

Purchased

300

220

European

2014-10-18

24.9

ADS

Put

Written

400

180

European

2014-10-18

1.575

ADS

Call

Purchased

400

270

European

2015-01-17

5.2

ADS

Put

Written

500

105

European

2014-07-19

0.05

ADS

Put

Written

500

160

European

2014-07-19

0.075

ADS

Put

Written

500

195

European

2014-07-19

0.225

ADS

Put

Written

500

215

European

2014-07-19

2.9

ADS

Put

Written

500

85

European

2014-07-19

0.05

ADS

Put

Written

500

165

European

2014-10-18

0.7743

ADS

Put

Written

600

110

European

2014-07-19

0.05

ADS

Put

Written

600

105

European

2014-10-18

0.05

ADS

Put

Written

600

170

European

2014-10-18

0.925

ADS

Call

Purchased

400

175

European

2014-07-19

60

ADS

Put

Written

600

175

European

2014-10-18

1.1

ADS

Put

Written

600

180

European

2014-10-18

1.575

ADS

Call

Purchased

400

180

European

2014-07-19

55.1

ADS

Put

Written

700

175

European

2014-07-19

0.15

ADS

Put

Written

700

185

European

2014-07-19

0.225

ADS

Put

Written

700

185

European

2014-07-19

0.225

ADS

Call

Purchased

400

210

European

2014-07-19

26.75

ADS

Call

Purchased

400

160

European

2014-10-18

75.45

ADS

Put

Written

700

205

European

2014-07-19

0.875

ADS

Call

Purchased

500

165

European

2014-10-18

70.65

ADS

Call

Purchased

600

250

European

2015-01-17

11.75

ADS

Call

Purchased

600

185

European

2014-07-19

50.1

ADS

Call

Purchased

600

210

European

2014-07-19

26.75

ADS

Call

Purchased

600

240

European

2014-08-16

12.05

ADS

Call

Purchased

600

175

European

2014-10-18

61.1

ADS

Put

Written

700

175

European

2014-10-18

1.1

ADS

Put

Written

700

180

European

2014-10-18

1.575

ADS

Put

Written

800

155

European

2014-07-19

0.15

ADS

Call

Purchased

700

250

European

2015-01-17

11.75

ADS

Call

Purchased

700

220

European

2014-07-19

19.45

ADS

Call

Purchased

700

175

European

2014-10-18

61.1

ADS

Call

Purchased

700

175

European

2014-10-18

61.1

ADS

Put

Written

800

205

European

2014-07-19

0.875

ADS

Put

Written

800

85

European

2014-07-19

0.05

ADS

Put

Written

800

175

European

2014-10-18

1.1

ADS

Put

Written

900

115

European

2014-07-19

0.05

ADS

Put

Written

1000

120

European

2014-07-19

0.05

ADS

Call

Purchased

800

220

European

2015-01-17

27.35

ADS

Call

Purchased

800

280

European

2015-01-17

3.175

ADS

Call

Purchased

900

195

European

2014-07-19

40.45

ADS

Call

Purchased

1000

200

European

2015-01-17

41.45

ADS

Put

Written

1000

170

European

2014-07-19

0.15

ADS

Put

Written

1000

255

European

2014-08-16

26.45

ADS

Put

Written

1000

260

European

2014-08-16

30.05

ADS

Put

Written

1000

140

European

2014-10-18

0.2

ADS

Put

Written

1100

140

European

2014-07-19

0.075

ADS

Call

Purchased

1000

170

European

2014-07-19

65.1

ADS

Call

Purchased

1000

185

European

2014-07-19

50.1

ADS

Put

Written

1100

175

European

2014-07-19

0.15

ADS

Put

Written

1200

170

European

2014-07-19

0.15

ADS

Put

Written

1200

175

European

2014-07-19

0.15

ADS

Call

Purchased

1000

250

European

2014-10-18

9.8

ADS

Call

Purchased

1100

260

European

2014-07-19

2.475

ADS

Call

Purchased

1200

170

European

2014-07-19

65.1

ADS

Call

Purchased

1200

190

European

2014-10-18

47.45

ADS

Put

Written

1300

185

European

2014-07-19

0.225

ADS

Put

Written

1300

210

European

2014-07-19

1.65

ADS

Put

Written

1300

210

European

2014-07-19

1.65

ADS

Put

Written

1300

85

European

2014-10-18

0.05

ADS

Put

Written

1400

200

European

2014-07-19

0.5

ADS

Call

Purchased

1300

230

European

2014-07-19

13.25

ADS

Call

Purchased

1400

200

European

2014-07-19

35.7

ADS

Call

Purchased

1500

145

European

2014-07-19

90.15

ADS

Put

Written

1400

200

European

2014-07-19

0.5

ADS

Put

Written

1400

210

European

2014-07-19

1.65

ADS

Put

Written

1500

205

European

2014-07-19

0.875

ADS

Call

Purchased

1600

180

European

2014-07-19

55.1

ADS

Put

Written

1500

90

European

2014-07-19

0.05

ADS

Put

Written

1500

165

European

2014-10-18

0.7743

ADS

Put

Written

1600

130

European

2014-07-19

0.05

ADS

Call

Purchased

1600

190

European

2014-07-19

45.35

ADS

Call

Purchased

1800

180

European

2014-07-19

55.1

ADS

Put

Written

1600

195

European

2014-07-19

0.225

ADS

Put

Written

1600

210

European

2014-07-19

1.65

ADS

Call

Purchased

1900

185

European

2014-07-19

50.1

ADS

Call

Purchased

2000

215

European

2014-07-19

22.9

ADS

Call

Purchased

2000

250

European

2014-07-19

5.15

ADS

Call

Purchased

2000

155

European

2014-10-18

80.4

ADS

Call

Purchased

2000

170

European

2014-10-18

65.8

ADS

Call

Purchased

2500

185

European

2014-07-19

50.1

ADS

Call

Purchased

2500

250

European

2014-08-16

8.05

ADS

Put

Written

2200

165

European

2014-10-18

0.7743

ADS

Call

Purchased

2900

260

European

2014-07-19

2.475

ADS

Call

Purchased

3000

255

European

2014-07-19

3.5

ADS

Call

Purchased

3600

250

European

2014-08-16

8.05

ADS

Call

Purchased

3800

190

European

2014-07-19

45.35

ADS

Call

Purchased

4000

250

European

2014-07-19

5.15

ADS

Call

Purchased

4000

195

European

2014-10-18

43.15

ADS

Call

Purchased

4100

260

European

2014-07-19

2.475

ADS

Put

Written

2300

160

European

2014-07-19

0.075

ADS

Put

Written

3000

270

European

2014-08-16

37.9

ADS

Put

Written

3200

165

European

2014-07-19

0.075

ADS

Put

Written

6800

200

European

2014-07-19

0.5

ADS

Call

Purchased

4300

180

European

2014-07-19

55.1

ADS

Call

Purchased

4500

190

European

2014-07-19

45.35

ADS

Call

Purchased

5000

260

European

2014-08-16

4.95

ADS

Call

Purchased

5400

250

European

2014-07-19

5.15

ADS

Call

Purchased

7300

260

European

2014-07-19

2.475

ADS

Call

Purchased

12000

260

European

2014-10-18

6.2

ADS

Call

Purchased

13600

260

European

2014-10-18

6.2

ADS

Call

Purchased

18400

260

European

2014-10-18

6.2

ADS

Put

Written

16500

210

European

2014-07-19

1.65

ADS

Put

Written

17700

200

European

2014-07-19

0.5

ADS

Put

Written

28800

200

European

2014-07-19

0.5

 

 

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 contracts for differences ("CFDs") or spread bets.

 

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 dealing 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
 
 
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