16th Oct 2014 15:37
FORM 8.5 (EPT/NON-RI)
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: | 15 October 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: | 24,063 | 0.00% | 0 | 0.00% |
(2) Derivatives (other than options): | ||||
(3) Options and agreements to purchase/sell: | 714,800 | 0.03% | 643,800 | 0.03% |
TOTAL: | 738,863 | 0.03% | 643,800 | 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 | Buys/ Sells | Number of Securities | Price per unit (USD) |
ADS | Sale | -2000 | 191.285 |
ADS | Sale | -900 | 190.32 |
ADS | Sale | -200 | 190 |
ADS | Sale | -200 | 190.05 |
ADS | Sale | -200 | 190.05 |
ADS | Sale | -200 | 190.05 |
ADS | Sale | -200 | 190.05 |
ADS | Sale | -175 | 190.09 |
ADS | Sale | -172 | 190.09 |
ADS | Sale | -100 | 189.41 |
ADS | Sale | -100 | 190.34 |
ADS | Sale | -100 | 190.36 |
ADS | Sale | -100 | 190.36 |
ADS | Sale | -100 | 190.37 |
ADS | Sale | -100 | 190.37 |
ADS | Sale | -100 | 190.38 |
ADS | Sale | -100 | 190.69 |
ADS | Sale | -100 | 191.16 |
ADS | Sale | -100 | 191.25 |
ADS | Sale | -100 | 191.27 |
ADS | Sale | -100 | 189.42 |
ADS | Sale | -100 | 189.5 |
ADS | Sale | -100 | 189.95 |
ADS | Sale | -100 | 189.95 |
ADS | Sale | -100 | 190 |
ADS | Sale | -100 | 190.05 |
ADS | Sale | -100 | 190.05 |
ADS | Sale | -100 | 190.06 |
ADS | Sale | -100 | 190.06 |
ADS | Sale | -100 | 190.07 |
ADS | Sale | -100 | 190.07 |
ADS | Sale | -100 | 190.09 |
ADS | Sale | -100 | 190.09 |
ADS | Sale | -100 | 190.13 |
ADS | Sale | -100 | 190.13 |
ADS | Sale | -100 | 190.13 |
ADS | Sale | -100 | 190.13 |
ADS | Sale | -100 | 190.14 |
ADS | Sale | -100 | 190.14 |
ADS | Sale | -100 | 190.18 |
ADS | Sale | -100 | 190.3 |
ADS | Sale | -100 | 190.32 |
ADS | Sale | -100 | 190.32 |
ADS | Sale | -100 | 190.32 |
ADS | Sale | -100 | 190.33 |
ADS | Sale | -100 | 190.34 |
ADS | Sale | -100 | 191.27 |
ADS | Sale | -100 | 191.27 |
ADS | Sale | -100 | 191.27 |
ADS | Sale | -100 | 191.28 |
ADS | Sale | -100 | 191.285 |
ADS | Sale | -100 | 191.285 |
ADS | Sale | -100 | 191.285 |
ADS | Sale | -100 | 191.2925 |
ADS | Sale | -100 | 191.295 |
ADS | Sale | -100 | 191.3 |
ADS | Sale | -100 | 191.3 |
ADS | Sale | -100 | 191.31 |
ADS | Sale | -100 | 191.33 |
ADS | Sale | -100 | 191.5 |
ADS | Sale | -73 | 191.24 |
ADS | Sale | -73 | 191.25 |
ADS | Sale | -46 | 191.24 |
ADS | Sale | -27 | 191.24 |
ADS | Sale | -27 | 191.25 |
ADS | Sale | -27 | 191.25 |
ADS | Sale | -25 | 190.14 |
ADS | Sale | -19 | 191.3 |
ADS | Sale | -16 | 190.05 |
ADS | Sale | -12 | 190.07 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.26 |
ADS | Sale | -1 | 191.3 |
ADS | Sale | -1 | 191.3 |
ADS | Purchase | 9 | 183.34 |
ADS | Purchase | 100 | 183.1 |
ADS | Purchase | 100 | 183.13 |
ADS | Purchase | 100 | 183.16 |
ADS | Purchase | 100 | 183.2 |
ADS | Purchase | 100 | 183.3 |
ADS | Purchase | 100 | 183.31 |
ADS | Purchase | 100 | 183.34 |
ADS | Purchase | 200 | 183.17 |
ADS | Purchase | 200 | 183.2 |
ADS | Purchase | 200 | 183.23 |
ADS | Purchase | 400 | 183.3 |
ADS | Purchase | 2791 | 183.1 |
(b) Options transactions in respect of existing securities
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 |
|
(i) Writing, selling, purchasing or varying
Class of relevant security | Product description e.g. call option | Purchasing or Selling | 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 | -2500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Call | Written | -2500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Call | Written | -2500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Put | Purchased | -2000 | 195 | AMERICAN | 22/11/2014 | 21.7 |
ADS | Call | Written | -1500 | 200 | AMERICAN | 22/11/2014 | 18 |
ADS | Call | Written | -1000 | 200 | AMERICAN | 18/10/2014 | 5.7 |
ADS | Call | Written | -1000 | 220 | AMERICAN | 24/10/2014 | 5 |
ADS | Call | Written | -1000 | 220 | AMERICAN | 24/10/2014 | 5 |
ADS | Call | Written | -1000 | 220 | AMERICAN | 24/10/2014 | 5.9 |
ADS | Put | Purchased | -1000 | 220 | AMERICAN | 24/10/2014 | 34.1 |
ADS | Put | Purchased | -1000 | 220 | AMERICAN | 24/10/2014 | 34.7 |
ADS | Put | Purchased | -1000 | 222.5 | AMERICAN | 24/10/2014 | 36.3 |
ADS | Put | Purchased | -1000 | 222.5 | AMERICAN | 24/10/2014 | 36.9 |
ADS | Put | Purchased | -1000 | 170 | AMERICAN | 20/01/2017 | 25 |
ADS | Call | Written | -1000 | 200 | AMERICAN | 22/11/2014 | 15 |
ADS | Call | Written | -1000 | 200 | AMERICAN | 22/11/2014 | 15.5 |
ADS | Call | Written | -1000 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Put | Purchased | -1000 | 195 | AMERICAN | 20/01/2017 | 37.2 |
ADS | Call | Written | -900 | 200 | AMERICAN | 18/10/2014 | 5.4 |
ADS | Call | Written | -500 | 210 | AMERICAN | 17/01/2015 | 17.2 |
ADS | Call | Written | -500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Call | Written | -500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Call | Written | -500 | 200 | AMERICAN | 22/11/2014 | 15.7 |
ADS | Call | Written | -500 | 200 | AMERICAN | 22/11/2014 | 18 |
ADS | Put | Purchased | -300 | 195 | AMERICAN | 22/11/2014 | 21.7 |
ADS | Call | Written | -300 | 210 | AMERICAN | 17/01/2015 | 17.2 |
ADS | Put | Purchased | -300 | 195 | AMERICAN | 22/11/2014 | 21.7 |
ADS | Call | Written | -200 | 210 | AMERICAN | 17/01/2015 | 17.2 |
ADS | Call | Written | -100 | 220 | AMERICAN | 24/10/2014 | 5 |
ADS | Put | Purchased | -100 | 220 | AMERICAN | 24/10/2014 | 34.6 |
ADS | Put | Purchased | -100 | 222.5 | AMERICAN | 24/10/2014 | 36.8 |
ADS | Call | Written | -100 | 220 | AMERICAN | 24/10/2014 | 5.9 |
ADS | Put | Purchased | -100 | 195 | AMERICAN | 18/10/2014 | 10.7 |
ADS | Call | Written | -100 | 200 | AMERICAN | 22/11/2014 | 16.7 |
ADS | Call | Written | -100 | 205 | AMERICAN | 31/10/2014 | 13.5 |
ADS | Call | Written | -100 | 205 | AMERICAN | 31/10/2014 | 13.8 |
ADS | Call | Written | -100 | 210 | AMERICAN | 17/01/2015 | 17.2 |
ADS | Put | Written | 100 | 160 | AMERICAN | 17/04/2015 | 10.95 |
ADS | Put | Written | 100 | 150 | AMERICAN | 17/01/2015 | 6.1 |
ADS | Call | Purchased | 100 | 150 | AMERICAN | 17/01/2015 | 47.4 |
ADS | Put | Written | 100 | 145 | AMERICAN | 17/01/2015 | 4.8 |
ADS | Put | Written | 100 | 125 | AMERICAN | 17/01/2015 | 1.2 |
ADS | Call | Purchased | 100 | 155 | AMERICAN | 17/01/2015 | 43.8 |
ADS | Call | Purchased | 100 | 135 | AMERICAN | 17/01/2015 | 59.3 |
ADS | Put | Written | 100 | 140 | AMERICAN | 17/01/2015 | 4 |
ADS | Put | Written | 100 | 135 | AMERICAN | 17/01/2015 | 2.9 |
ADS | Call | Purchased | 100 | 140 | AMERICAN | 17/01/2015 | 55.3 |
ADS | Call | Purchased | 100 | 145 | AMERICAN | 17/01/2015 | 51.4 |
ADS | Put | Written | 100 | 130 | AMERICAN | 17/01/2015 | 2 |
ADS | Call | Purchased | 100 | 130 | AMERICAN | 17/01/2015 | 63.4 |
ADS | Call | Purchased | 100 | 125 | AMERICAN | 17/01/2015 | 67.6 |
ADS | Call | Purchased | 100 | 145 | AMERICAN | 17/01/2015 | 51.5 |
ADS | Put | Written | 100 | 150 | AMERICAN | 17/01/2015 | 6.1 |
ADS | Call | Purchased | 100 | 140 | AMERICAN | 17/01/2015 | 55.1 |
ADS | Call | Purchased | 100 | 140 | AMERICAN | 17/01/2015 | 54.8 |
ADS | Put | Written | 100 | 145 | AMERICAN | 17/01/2015 | 3.7 |
ADS | Put | Written | 100 | 140 | AMERICAN | 17/01/2015 | 2.6 |
ADS | Call | Purchased | 100 | 145 | AMERICAN | 17/04/2015 | 51.9 |
ADS | Put | Written | 100 | 160 | AMERICAN | 17/01/2015 | 8.2 |
ADS | Call | Purchased | 100 | 150 | AMERICAN | 17/04/2015 | 48 |
ADS | Call | Purchased | 100 | 140 | AMERICAN | 17/04/2015 | 55.3 |
ADS | Call | Purchased | 100 | 145 | AMERICAN | 17/04/2015 | 51.6 |
ADS | Put | Written | 100 | 160 | AMERICAN | 17/04/2015 | 10.8 |
ADS | Put | Written | 100 | 155 | AMERICAN | 17/04/2015 | 9.2 |
ADS | Put | Written | 100 | 150 | AMERICAN | 17/04/2015 | 7.4 |
ADS | Put | Written | 100 | 145 | AMERICAN | 17/04/2015 | 6.1 |
ADS | Put | Written | 100 | 140 | AMERICAN | 17/04/2015 | 4.8 |
ADS | Put | Written | 100 | 135 | AMERICAN | 17/04/2015 | 3.4 |
ADS | Put | Written | 100 | 135 | AMERICAN | 17/01/2015 | 3 |
ADS | Call | Purchased | 200 | 250 | AMERICAN | 17/01/2015 | 4 |
ADS | Put | Written | 200 | 120 | AMERICAN | 17/01/2015 | 1.8 |
ADS | Call | Purchased | 700 | 250 | AMERICAN | 17/01/2015 | 4.3 |
ADS | Call | Purchased | 800 | 250 | AMERICAN | 17/01/2015 | 4 |
ADS | Call | Purchased | 1000 | 130 | AMERICAN | 17/01/2015 | 63.4 |
ADS | Call | Purchased | 1000 | 135 | AMERICAN | 17/01/2015 | 59.3 |
ADS | Call | Purchased | 1000 | 140 | AMERICAN | 17/01/2015 | 54.4 |
ADS | Call | Purchased | 1000 | 145 | AMERICAN | 17/01/2015 | 51.4 |
ADS | Call | Purchased | 1000 | 150 | AMERICAN | 17/01/2015 | 47.4 |
ADS | Call | Purchased | 1000 | 250 | AMERICAN | 20/01/2017 | 11.4 |
ADS | Put | Written | 1000 | 130 | AMERICAN | 17/01/2015 | 2 |
ADS | Put | Written | 1000 | 140 | AMERICAN | 17/01/2015 | 4 |
ADS | Put | Written | 1000 | 135 | AMERICAN | 22/11/2014 | 2.8 |
ADS | Call | Purchased | 1000 | 195 | AMERICAN | 20/01/2017 | 32.5 |
ADS | Put | Written | 1000 | 145 | AMERICAN | 22/11/2014 | 3.5 |
ADS | Put | Written | 1000 | 150 | AMERICAN | 18/10/2014 | 0.1 |
ADS | Put | Written | 1000 | 150 | AMERICAN | 18/10/2014 | 0.15 |
ADS | Put | Written | 1000 | 155 | AMERICAN | 18/10/2014 | 0.15 |
ADS | Put | Written | 1000 | 160 | AMERICAN | 18/10/2014 | 0.25 |
ADS | Put | Written | 1000 | 155 | AMERICAN | 18/10/2014 | 0.2 |
(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: | 16 October 2014 |
Contact name: | Craig Watson |
Telephone number: | 44(028) 90409605 |
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 | -36900 | 250 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Call | Written | -21700 | 230 | AMERICAN | 2014-10-31 | 2.55 |
ADS | Call | Written | -21600 | 260 | AMERICAN | 2014-11-22 | 2.45 |
ADS | Call | Written | -19500 | 250 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Call | Written | -18200 | 255 | AMERICAN | 2015-01-17 | 1.475 |
ADS | Call | Written | -16900 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Put | Purchased | -16100 | 230 | AMERICAN | 2014-10-18 | 61 |
ADS | Put | Purchased | -14800 | 220 | AMERICAN | 2015-04-17 | 55.6 |
ADS | Call | Written | -14200 | 240 | AMERICAN | 2014-10-18 | 0.925 |
ADS | Put | Purchased | -14100 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Put | Purchased | -14000 | 160 | AMERICAN | 2014-10-18 | 5.15 |
ADS | Call | Written | -14000 | 240 | AMERICAN | 2014-10-18 | 0.925 |
ADS | Call | Written | -14000 | 200 | AMERICAN | 2014-11-22 | 8.3 |
ADS | Call | Written | -12900 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Put | Purchased | -12900 | 165 | AMERICAN | 2014-10-18 | 7.1 |
ADS | Put | Purchased | -12400 | 190 | AMERICAN | 2014-10-18 | 24.8 |
ADS | Put | Purchased | -12100 | 215 | AMERICAN | 2014-10-18 | 46.25 |
ADS | Put | Purchased | -12000 | 252.5 | AMERICAN | 2014-10-18 | 82.35 |
ADS | Call | Written | -11400 | 255 | AMERICAN | 2015-01-17 | 1.475 |
ADS | Call | Written | -10800 | 265 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Call | Written | -10400 | 230 | AMERICAN | 2015-01-17 | 3.95 |
ADS | Put | Purchased | -10400 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Put | Purchased | -9400 | 210 | AMERICAN | 2014-11-22 | 45.8 |
ADS | Call | Written | -9300 | 250 | AMERICAN | 2014-11-22 | 2.425 |
ADS | Call | Written | -9100 | 245 | AMERICAN | 2015-01-17 | 2.375 |
ADS | Put | Purchased | -9100 | 95 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Call | Written | -8000 | 260 | AMERICAN | 2014-10-31 | 0.05 |
ADS | Call | Written | -7600 | 265 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Call | Written | -7400 | 260 | AMERICAN | 2014-10-31 | 0.05 |
ADS | Call | Written | -7100 | 255 | AMERICAN | 2015-01-17 | 1.475 |
ADS | Put | Purchased | -6900 | 115 | AMERICAN | 2014-10-18 | 0.15 |
ADS | Call | Written | -6500 | 240 | AMERICAN | 2014-10-18 | 0.925 |
ADS | Put | Purchased | -6300 | 225 | AMERICAN | 2014-10-18 | 55.7 |
ADS | Put | Purchased | -6000 | 105 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -6000 | 135 | AMERICAN | 2014-10-18 | 0.25 |
ADS | Put | Purchased | -5900 | 250 | AMERICAN | 2014-10-18 | 79.95 |
ADS | Put | Purchased | -5800 | 230 | AMERICAN | 2014-10-18 | 61 |
ADS | Put | Purchased | -5400 | 170 | AMERICAN | 2014-10-18 | 10 |
ADS | Put | Purchased | -5000 | 155 | AMERICAN | 2014-10-18 | 3.5 |
ADS | Put | Purchased | -4600 | 220 | AMERICAN | 2014-10-18 | 51.2 |
ADS | Put | Purchased | -3900 | 240 | AMERICAN | 2014-10-18 | 70.8 |
ADS | Put | Purchased | -3500 | 100 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -3500 | 220 | AMERICAN | 2014-10-18 | 51.2 |
ADS | Call | Written | -3500 | 260 | AMERICAN | 2014-11-22 | 2.45 |
ADS | Put | Purchased | -3500 | 265 | AMERICAN | 2014-11-22 | 97.4 |
ADS | Put | Purchased | -3400 | 255 | AMERICAN | 2015-01-17 | 86.1 |
ADS | Put | Purchased | -3400 | 230 | AMERICAN | 2014-11-22 | 63.45 |
ADS | Put | Purchased | -3300 | 210 | AMERICAN | 2014-11-22 | 45.8 |
ADS | Put | Purchased | -3200 | 200 | AMERICAN | 2014-10-18 | 32.75 |
ADS | Put | Purchased | -3200 | 230 | AMERICAN | 2014-11-22 | 63.45 |
ADS | Call | Written | -3100 | 230 | AMERICAN | 2014-10-18 | 1.45 |
ADS | Put | Purchased | -3000 | 230 | AMERICAN | 2014-10-18 | 61 |
ADS | Put | Purchased | -3000 | 240 | AMERICAN | 2014-10-18 | 70.8 |
ADS | Put | Purchased | -3000 | 257.5 | AMERICAN | 2014-10-18 | 87.3 |
ADS | Call | Written | -3000 | 220 | AMERICAN | 2014-10-24 | 2.975 |
ADS | Call | Written | -2800 | 230 | AMERICAN | 2015-01-17 | 3.95 |
ADS | Put | Purchased | -2700 | 250 | AMERICAN | 2014-10-18 | 79.95 |
ADS | Call | Written | -2600 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Put | Purchased | -2600 | 170 | AMERICAN | 2014-10-18 | 10 |
ADS | Put | Purchased | -2600 | 185 | AMERICAN | 2014-10-18 | 20.65 |
ADS | Put | Purchased | -2500 | 150 | AMERICAN | 2014-11-22 | 5.95 |
ADS | Put | Purchased | -2500 | 270 | AMERICAN | 2014-11-22 | 100.15 |
ADS | Put | Purchased | -2300 | 215 | AMERICAN | 2014-10-18 | 46.25 |
ADS | Put | Purchased | -2300 | 195 | AMERICAN | 2014-11-22 | 33.7 |
ADS | Put | Purchased | -2200 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Put | Purchased | -2100 | 120 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Call | Written | -2100 | 225 | AMERICAN | 2014-10-18 | 1.725 |
ADS | Put | Purchased | -2100 | 260 | AMERICAN | 2014-11-22 | 92.4 |
ADS | Call | Written | -2100 | 265 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Put | Purchased | -2000 | 255 | AMERICAN | 2014-10-18 | 84.8 |
ADS | Put | Purchased | -2000 | 220 | AMERICAN | 2014-10-24 | 53.2 |
ADS | Put | Purchased | -2000 | 222.5 | AMERICAN | 2014-10-24 | 55.45 |
ADS | Put | Purchased | -2000 | 250 | AMERICAN | 2014-11-22 | 82.5 |
ADS | Call | Written | -1800 | 300 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Put | Purchased | -1600 | 150 | AMERICAN | 2015-01-17 | 9.35 |
ADS | Put | Purchased | -1600 | 220 | AMERICAN | 2014-10-18 | 51.2 |
ADS | Call | Written | -1600 | 295 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Call | Written | -1500 | 230 | AMERICAN | 2015-01-17 | 3.95 |
ADS | Put | Purchased | -1300 | 240 | AMERICAN | 2014-11-22 | 72.7 |
ADS | Call | Written | -1200 | 200 | AMERICAN | 2014-10-18 | 3.65 |
ADS | Call | Written | -1100 | 160 | AMERICAN | 2014-10-18 | 16.2 |
ADS | Put | Purchased | -1000 | 125 | AMERICAN | 2015-01-17 | 2.45 |
ADS | Put | Purchased | -1000 | 130 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Put | Purchased | -1000 | 240 | AMERICAN | 2015-01-17 | 72.05 |
ADS | Put | Purchased | -1000 | 90 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -1000 | 95 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -1000 | 170 | AMERICAN | 2017-01-20 | 35.1 |
ADS | Put | Purchased | -1000 | 195 | AMERICAN | 2017-01-20 | 49.25 |
ADS | Put | Purchased | -1000 | 100 | AMERICAN | 2014-10-18 | 0.05 |
ADS | Put | Purchased | -1000 | 105 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Put | Purchased | -1000 | 110 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Put | Purchased | -1000 | 130 | AMERICAN | 2014-10-18 | 0.425 |
ADS | Put | Purchased | -1000 | 140 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Put | Purchased | -1000 | 145 | AMERICAN | 2014-10-18 | 1.15 |
ADS | Call | Written | -1000 | 185 | AMERICAN | 2014-10-18 | 6.35 |
ADS | Call | Written | -1000 | 185 | AMERICAN | 2014-10-18 | 6.35 |
ADS | Put | Purchased | -1000 | 210 | AMERICAN | 2014-10-18 | 43 |
ADS | Put | Purchased | -1000 | 242.5 | AMERICAN | 2014-10-18 | 72.6 |
ADS | Call | Written | -1000 | 245 | AMERICAN | 2014-10-18 | 0.875 |
ADS | Call | Written | -1000 | 257.5 | AMERICAN | 2014-10-18 | 0.575 |
ADS | Put | Purchased | -1000 | 230 | AMERICAN | 2014-11-22 | 63.45 |
ADS | Put | Purchased | -1000 | 255 | AMERICAN | 2014-11-22 | 87.5 |
ADS | Put | Purchased | -900 | 245 | AMERICAN | 2014-10-18 | 75.05 |
ADS | Call | Written | -900 | 250 | AMERICAN | 2014-11-22 | 2.425 |
ADS | Call | Written | -800 | 225 | AMERICAN | 2015-01-17 | 4.65 |
ADS | Call | Written | -800 | 260 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Put | Purchased | -800 | 115 | AMERICAN | 2014-10-18 | 0.15 |
ADS | Put | Purchased | -800 | 165 | AMERICAN | 2014-10-18 | 7.1 |
ADS | Call | Written | -700 | 295 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Call | Written | -700 | 215 | AMERICAN | 2014-10-18 | 1.8 |
ADS | Call | Written | -700 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Put | Purchased | -600 | 120 | AMERICAN | 2015-01-17 | 2.3 |
ADS | Call | Written | -600 | 240 | AMERICAN | 2014-10-18 | 0.925 |
ADS | Put | Purchased | -600 | 252.5 | AMERICAN | 2014-10-18 | 82.35 |
ADS | Put | Purchased | -600 | 200 | AMERICAN | 2014-11-22 | 37.5 |
ADS | Put | Purchased | -400 | 160 | AMERICAN | 2015-01-17 | 13.25 |
ADS | Call | Written | -400 | 220 | AMERICAN | 2015-01-17 | 5.35 |
ADS | Call | Written | -400 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Put | Purchased | -400 | 260 | AMERICAN | 2015-01-17 | 90.75 |
ADS | Put | Purchased | -400 | 270 | AMERICAN | 2015-01-17 | 100.3 |
ADS | Put | Purchased | -400 | 145 | AMERICAN | 2014-10-18 | 1.15 |
ADS | Put | Purchased | -400 | 215 | AMERICAN | 2014-10-18 | 46.25 |
ADS | Call | Written | -400 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Call | Written | -400 | 240 | AMERICAN | 2014-10-18 | 0.925 |
ADS | Call | Written | -400 | 260 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Put | Purchased | -400 | 240 | AMERICAN | 2014-10-31 | 72.4 |
ADS | Call | Written | -300 | 210 | AMERICAN | 2015-01-17 | 7.65 |
ADS | Put | Purchased | -300 | 230 | AMERICAN | 2015-01-17 | 63.1 |
ADS | Call | Written | -300 | 245 | AMERICAN | 2015-01-17 | 2.375 |
ADS | Put | Purchased | -300 | 130 | AMERICAN | 2015-04-17 | 4.85 |
ADS | Put | Purchased | -300 | 240 | AMERICAN | 2014-10-18 | 70.8 |
ADS | Put | Purchased | -300 | 90 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Put | Purchased | -300 | 247.5 | AMERICAN | 2014-10-24 | 77.65 |
ADS | Call | Written | -300 | 250 | AMERICAN | 2014-11-22 | 2.425 |
ADS | Call | Written | -300 | 265 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Put | Purchased | -200 | 215 | AMERICAN | 2015-01-17 | 50.3 |
ADS | Put | Purchased | -200 | 240 | AMERICAN | 2015-01-17 | 72.05 |
ADS | Call | Written | -200 | 245 | AMERICAN | 2015-01-17 | 2.375 |
ADS | Call | Written | -200 | 245 | AMERICAN | 2015-01-17 | 2.375 |
ADS | Call | Written | -200 | 315 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -200 | 100 | AMERICAN | 2014-10-18 | 0.05 |
ADS | Put | Purchased | -200 | 130 | AMERICAN | 2014-10-18 | 0.425 |
ADS | Put | Purchased | -200 | 150 | AMERICAN | 2014-10-18 | 2.05 |
ADS | Call | Written | -200 | 165 | AMERICAN | 2014-10-18 | 13.5 |
ADS | Call | Written | -200 | 190 | AMERICAN | 2014-10-18 | 5.55 |
ADS | Put | Purchased | -200 | 190 | AMERICAN | 2014-10-18 | 24.8 |
ADS | Put | Purchased | -200 | 220 | AMERICAN | 2014-10-18 | 51.2 |
ADS | Call | Written | -200 | 230 | AMERICAN | 2014-10-18 | 1.45 |
ADS | Put | Purchased | -200 | 235 | AMERICAN | 2014-10-18 | 65.4 |
ADS | Put | Purchased | -200 | 245 | AMERICAN | 2014-10-18 | 75.05 |
ADS | Put | Purchased | -200 | 250 | AMERICAN | 2014-10-18 | 79.95 |
ADS | Put | Purchased | -200 | 252.5 | AMERICAN | 2014-10-18 | 82.35 |
ADS | Put | Purchased | -200 | 257.5 | AMERICAN | 2014-10-18 | 87.3 |
ADS | Call | Written | -200 | 295 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Call | Written | -200 | 295 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Call | Written | -200 | 300 | AMERICAN | 2014-10-18 | 0.075 |
ADS | Call | Written | -200 | 220 | AMERICAN | 2014-10-24 | 2.975 |
ADS | Call | Written | -200 | 205 | AMERICAN | 2014-10-31 | 5.9 |
ADS | Put | Purchased | -200 | 240 | AMERICAN | 2014-11-22 | 72.7 |
ADS | Call | Written | -200 | 305 | AMERICAN | 2014-11-22 | 0.025 |
ADS | Call | Written | -100 | 100 | AMERICAN | 2015-01-17 | 70.8 |
ADS | Call | Written | -100 | 110 | AMERICAN | 2015-01-17 | 61.3 |
ADS | Call | Written | -100 | 110 | AMERICAN | 2015-01-17 | 61.3 |
ADS | Call | Written | -100 | 135 | AMERICAN | 2015-01-17 | 40.15 |
ADS | Call | Written | -100 | 135 | AMERICAN | 2015-01-17 | 40.15 |
ADS | Call | Written | -100 | 175 | AMERICAN | 2015-01-17 | 17.25 |
ADS | Call | Written | -100 | 210 | AMERICAN | 2015-01-17 | 7.65 |
ADS | Put | Purchased | -100 | 210 | AMERICAN | 2015-01-17 | 46.05 |
ADS | Call | Written | -100 | 225 | AMERICAN | 2015-01-17 | 4.65 |
ADS | Put | Purchased | -100 | 225 | AMERICAN | 2015-01-17 | 58.7 |
ADS | Put | Purchased | -100 | 225 | AMERICAN | 2015-01-17 | 58.7 |
ADS | Call | Written | -100 | 235 | AMERICAN | 2015-01-17 | 3.3 |
ADS | Call | Written | -100 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Put | Purchased | -100 | 240 | AMERICAN | 2015-01-17 | 72.05 |
ADS | Call | Written | -100 | 245 | AMERICAN | 2015-01-17 | 2.375 |
ADS | Put | Purchased | -100 | 255 | AMERICAN | 2015-01-17 | 86.1 |
ADS | Put | Purchased | -100 | 260 | AMERICAN | 2015-01-17 | 90.75 |
ADS | Put | Purchased | -100 | 260 | AMERICAN | 2015-01-17 | 90.75 |
ADS | Put | Purchased | -100 | 270 | AMERICAN | 2015-01-17 | 100.3 |
ADS | Put | Purchased | -100 | 270 | AMERICAN | 2015-01-17 | 100.3 |
ADS | Call | Written | -100 | 275 | AMERICAN | 2015-01-17 | 0.775 |
ADS | Call | Written | -100 | 315 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Call | Written | -100 | 325 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Call | Written | -100 | 330 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Call | Written | -100 | 330 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -100 | 95 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Purchased | -100 | 95 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Call | Written | -100 | 330 | AMERICAN | 2015-04-17 | 0.05 |
ADS | Call | Written | -100 | 330 | AMERICAN | 2015-04-17 | 0.05 |
ADS | Call | Written | -100 | 330 | AMERICAN | 2015-04-17 | 0.05 |
ADS | Put | Purchased | -100 | 145 | AMERICAN | 2014-10-18 | 1.15 |
ADS | Put | Purchased | -100 | 150 | AMERICAN | 2014-10-18 | 2.05 |
ADS | Call | Written | -100 | 155 | AMERICAN | 2014-10-18 | 19.4 |
ADS | Put | Purchased | -100 | 185 | AMERICAN | 2014-10-18 | 20.65 |
ADS | Put | Purchased | -100 | 185 | AMERICAN | 2014-10-18 | 20.65 |
ADS | Put | Purchased | -100 | 185 | AMERICAN | 2014-10-18 | 20.65 |
ADS | Put | Purchased | -100 | 225 | AMERICAN | 2014-10-18 | 55.7 |
ADS | Call | Written | -100 | 255 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Put | Purchased | -100 | 260 | AMERICAN | 2014-10-18 | 89.7 |
ADS | Put | Purchased | -100 | 220 | AMERICAN | 2014-10-24 | 53.2 |
ADS | Put | Purchased | -100 | 222.5 | AMERICAN | 2014-10-24 | 55.45 |
ADS | Put | Purchased | -100 | 240 | AMERICAN | 2014-10-31 | 72.4 |
ADS | Call | Written | -100 | 200 | AMERICAN | 2014-11-22 | 8.3 |
ADS | Put | Purchased | -100 | 245 | AMERICAN | 2014-11-22 | 77.7 |
ADS | Call | Written | -100 | 250 | AMERICAN | 2014-11-22 | 2.425 |
ADS | Put | Purchased | -100 | 260 | AMERICAN | 2014-11-22 | 92.4 |
ADS | Call | Written | -100 | 305 | AMERICAN | 2014-11-22 | 0.025 |
ADS | Call | Written | -100 | 305 | AMERICAN | 2014-11-22 | 0.025 |
ADS | Call | Purchased | 100 | 125 | AMERICAN | 2015-01-17 | 47.75 |
ADS | Put | Written | 100 | 125 | AMERICAN | 2015-01-17 | 2.45 |
ADS | Call | Purchased | 100 | 130 | AMERICAN | 2015-01-17 | 43.8 |
ADS | Put | Written | 100 | 130 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Call | Purchased | 100 | 135 | AMERICAN | 2015-01-17 | 40.15 |
ADS | Put | Written | 100 | 135 | AMERICAN | 2015-01-17 | 4.15 |
ADS | Put | Written | 100 | 135 | AMERICAN | 2015-01-17 | 4.15 |
ADS | Call | Purchased | 100 | 150 | AMERICAN | 2015-01-17 | 29.85 |
ADS | Call | Purchased | 100 | 155 | AMERICAN | 2015-01-17 | 27.15 |
ADS | Put | Written | 100 | 160 | AMERICAN | 2015-01-17 | 13.25 |
ADS | Call | Purchased | 100 | 180 | AMERICAN | 2015-01-17 | 17.4 |
ADS | Call | Purchased | 100 | 195 | AMERICAN | 2015-01-17 | 10.85 |
ADS | Call | Purchased | 100 | 200 | AMERICAN | 2015-01-17 | 9.7 |
ADS | Put | Written | 100 | 215 | AMERICAN | 2015-01-17 | 50.3 |
ADS | Call | Purchased | 100 | 220 | AMERICAN | 2015-01-17 | 5.35 |
ADS | Put | Written | 100 | 230 | AMERICAN | 2015-01-17 | 63.1 |
ADS | Put | Written | 100 | 230 | AMERICAN | 2015-01-17 | 63.1 |
ADS | Put | Written | 100 | 240 | AMERICAN | 2015-01-17 | 72.05 |
ADS | Put | Written | 100 | 245 | AMERICAN | 2015-01-17 | 76.6 |
ADS | Put | Written | 100 | 245 | AMERICAN | 2015-01-17 | 76.6 |
ADS | Call | Purchased | 100 | 255 | AMERICAN | 2015-01-17 | 1.475 |
ADS | Put | Written | 100 | 255 | AMERICAN | 2015-01-17 | 86.1 |
ADS | Put | Written | 100 | 255 | AMERICAN | 2015-01-17 | 86.1 |
ADS | Call | Purchased | 100 | 260 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Put | Written | 100 | 265 | AMERICAN | 2015-01-17 | 95.5 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2015-01-17 | 105.15 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2015-01-17 | 105.15 |
ADS | Call | Purchased | 100 | 290 | AMERICAN | 2015-01-17 | 0.7 |
ADS | Call | Purchased | 100 | 295 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Call | Purchased | 100 | 295 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Call | Purchased | 100 | 295 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Call | Purchased | 100 | 295 | AMERICAN | 2015-01-17 | 0.1 |
ADS | Put | Written | 100 | 200 | AMERICAN | 2017-01-20 | 52.25 |
ADS | Put | Written | 100 | 135 | AMERICAN | 2015-04-17 | 5.9 |
ADS | Call | Purchased | 100 | 140 | AMERICAN | 2015-04-17 | 38 |
ADS | Put | Written | 100 | 140 | AMERICAN | 2015-04-17 | 7 |
ADS | Put | Written | 100 | 145 | AMERICAN | 2015-04-17 | 9.8 |
ADS | Call | Purchased | 100 | 150 | AMERICAN | 2015-04-17 | 31.85 |
ADS | Put | Written | 100 | 150 | AMERICAN | 2015-04-17 | 11.75 |
ADS | Put | Written | 100 | 155 | AMERICAN | 2015-04-17 | 14 |
ADS | Put | Written | 100 | 160 | AMERICAN | 2015-04-17 | 16.35 |
ADS | Put | Written | 100 | 160 | AMERICAN | 2015-04-17 | 16.35 |
ADS | Put | Written | 100 | 170 | AMERICAN | 2015-04-17 | 21.5 |
ADS | Put | Written | 100 | 220 | AMERICAN | 2015-04-17 | 55.6 |
ADS | Put | Written | 100 | 225 | AMERICAN | 2015-04-17 | 59.7 |
ADS | Call | Purchased | 100 | 255 | AMERICAN | 2015-04-17 | 2.475 |
ADS | Put | Written | 100 | 260 | AMERICAN | 2015-04-17 | 91.55 |
ADS | Call | Purchased | 100 | 270 | AMERICAN | 2015-04-17 | 0.05 |
ADS | Put | Written | 100 | 280 | AMERICAN | 2015-04-17 | 110.7 |
ADS | Put | Written | 100 | 140 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Call | Purchased | 100 | 145 | AMERICAN | 2014-10-18 | 26.75 |
ADS | Call | Purchased | 100 | 165 | AMERICAN | 2014-10-18 | 13.5 |
ADS | Call | Purchased | 100 | 170 | AMERICAN | 2014-10-18 | 11.2 |
ADS | Call | Purchased | 100 | 180 | AMERICAN | 2014-10-18 | 8.25 |
ADS | Call | Purchased | 100 | 185 | AMERICAN | 2014-10-18 | 6.35 |
ADS | Call | Purchased | 100 | 190 | AMERICAN | 2014-10-18 | 5.55 |
ADS | Put | Written | 100 | 190 | AMERICAN | 2014-10-18 | 24.8 |
ADS | Put | Written | 100 | 190 | AMERICAN | 2014-10-18 | 24.8 |
ADS | Put | Written | 100 | 195 | AMERICAN | 2014-10-18 | 29.15 |
ADS | Put | Written | 100 | 210 | AMERICAN | 2014-10-18 | 43 |
ADS | Call | Purchased | 100 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Call | Purchased | 100 | 250 | AMERICAN | 2014-10-18 | 0.675 |
ADS | Call | Purchased | 100 | 255 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Put | Written | 100 | 260 | AMERICAN | 2014-10-18 | 89.7 |
ADS | Call | Purchased | 100 | 262.5 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Call | Purchased | 100 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Call | Purchased | 100 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Call | Purchased | 100 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Call | Purchased | 100 | 275 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 100 | 280 | AMERICAN | 2014-10-18 | 109.5 |
ADS | Call | Purchased | 100 | 290 | AMERICAN | 2014-10-18 | 0.125 |
ADS | Call | Purchased | 100 | 247.5 | AMERICAN | 2014-10-24 | 0.05 |
ADS | Call | Purchased | 100 | 255 | AMERICAN | 2014-10-24 | 0.05 |
ADS | Put | Written | 100 | 260 | AMERICAN | 2014-10-24 | 89.8 |
ADS | Put | Written | 100 | 267.5 | AMERICAN | 2014-10-24 | 97.15 |
ADS | Put | Written | 100 | 267.5 | AMERICAN | 2014-10-24 | 97.15 |
ADS | Put | Written | 100 | 250 | AMERICAN | 2014-10-31 | 80 |
ADS | Put | Written | 100 | 262.5 | AMERICAN | 2014-10-31 | 92.2 |
ADS | Put | Written | 100 | 270 | AMERICAN | 2014-10-31 | 99.55 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-10-31 | 104.45 |
ADS | Put | Written | 100 | 180 | AMERICAN | 2014-11-22 | 23.5 |
ADS | Put | Written | 100 | 210 | AMERICAN | 2014-11-22 | 45.8 |
ADS | Put | Written | 100 | 270 | AMERICAN | 2014-11-22 | 100.15 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-11-22 | 105.1 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-11-22 | 105.1 |
ADS | Put | Written | 100 | 275 | AMERICAN | 2014-11-22 | 105.1 |
ADS | Put | Written | 100 | 280 | AMERICAN | 2014-11-22 | 109.95 |
ADS | Put | Written | 100 | 280 | AMERICAN | 2014-11-22 | 109.95 |
ADS | Put | Written | 200 | 140 | AMERICAN | 2015-01-17 | 6.05 |
ADS | Call | Purchased | 200 | 145 | AMERICAN | 2015-01-17 | 32.85 |
ADS | Put | Written | 200 | 145 | AMERICAN | 2015-01-17 | 7.35 |
ADS | Call | Purchased | 200 | 175 | AMERICAN | 2015-01-17 | 17.25 |
ADS | Call | Purchased | 200 | 185 | AMERICAN | 2015-01-17 | 14.85 |
ADS | Put | Written | 200 | 185 | AMERICAN | 2015-01-17 | 27.65 |
ADS | Call | Purchased | 200 | 190 | AMERICAN | 2015-01-17 | 13.05 |
ADS | Put | Written | 200 | 195 | AMERICAN | 2015-01-17 | 34.8 |
ADS | Put | Written | 200 | 200 | AMERICAN | 2015-01-17 | 38.3 |
ADS | Put | Written | 200 | 205 | AMERICAN | 2015-01-17 | 41.85 |
ADS | Put | Written | 200 | 205 | AMERICAN | 2015-01-17 | 41.85 |
ADS | Call | Purchased | 200 | 210 | AMERICAN | 2015-01-17 | 7.65 |
ADS | Put | Written | 200 | 230 | AMERICAN | 2015-01-17 | 63.1 |
ADS | Put | Written | 200 | 245 | AMERICAN | 2015-01-17 | 76.6 |
ADS | Call | Purchased | 200 | 250 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Call | Purchased | 200 | 265 | AMERICAN | 2015-01-17 | 0.875 |
ADS | Call | Purchased | 200 | 320 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Call | Purchased | 200 | 145 | AMERICAN | 2015-04-17 | 34.8 |
ADS | Call | Purchased | 200 | 205 | AMERICAN | 2015-04-17 | 8.95 |
ADS | Call | Purchased | 200 | 205 | AMERICAN | 2015-04-17 | 8.95 |
ADS | Call | Purchased | 200 | 270 | AMERICAN | 2015-04-17 | 0.05 |
ADS | Call | Purchased | 200 | 150 | AMERICAN | 2014-10-18 | 23.05 |
ADS | Call | Purchased | 200 | 160 | AMERICAN | 2014-10-18 | 16.2 |
ADS | Call | Purchased | 200 | 170 | AMERICAN | 2014-10-18 | 11.2 |
ADS | Call | Purchased | 200 | 170 | AMERICAN | 2014-10-18 | 11.2 |
ADS | Put | Written | 200 | 170 | AMERICAN | 2014-10-18 | 10 |
ADS | Call | Purchased | 200 | 175 | AMERICAN | 2014-10-18 | 9.05 |
ADS | Put | Written | 200 | 175 | AMERICAN | 2014-10-18 | 13.2 |
ADS | Call | Purchased | 200 | 180 | AMERICAN | 2014-10-18 | 8.25 |
ADS | Put | Written | 200 | 185 | AMERICAN | 2014-10-18 | 20.65 |
ADS | Call | Purchased | 200 | 200 | AMERICAN | 2014-10-18 | 3.65 |
ADS | Put | Written | 200 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Call | Purchased | 200 | 210 | AMERICAN | 2014-10-18 | 2.9 |
ADS | Put | Written | 200 | 260 | AMERICAN | 2014-10-18 | 89.7 |
ADS | Put | Written | 200 | 280 | AMERICAN | 2014-10-18 | 109.5 |
ADS | Put | Written | 200 | 270 | AMERICAN | 2014-10-31 | 99.55 |
ADS | Put | Written | 200 | 275 | AMERICAN | 2014-10-31 | 104.45 |
ADS | Put | Written | 200 | 155 | AMERICAN | 2014-11-22 | 8.3 |
ADS | Put | Written | 200 | 155 | AMERICAN | 2014-11-22 | 8.3 |
ADS | Call | Purchased | 200 | 260 | AMERICAN | 2014-11-22 | 2.45 |
ADS | Put | Written | 300 | 190 | AMERICAN | 2016-01-15 | 40.25 |
ADS | Put | Written | 300 | 195 | AMERICAN | 2016-01-15 | 43.3 |
ADS | Put | Written | 300 | 200 | AMERICAN | 2016-01-15 | 46.5 |
ADS | Call | Purchased | 300 | 140 | AMERICAN | 2015-01-17 | 36.45 |
ADS | Call | Purchased | 300 | 185 | AMERICAN | 2015-01-17 | 14.85 |
ADS | Call | Purchased | 300 | 190 | AMERICAN | 2015-01-17 | 13.05 |
ADS | Call | Purchased | 300 | 195 | AMERICAN | 2015-01-17 | 10.85 |
ADS | Put | Written | 300 | 195 | AMERICAN | 2015-01-17 | 34.8 |
ADS | Put | Written | 300 | 195 | AMERICAN | 2015-01-17 | 34.8 |
ADS | Call | Purchased | 300 | 205 | AMERICAN | 2015-01-17 | 8.35 |
ADS | Put | Written | 300 | 205 | AMERICAN | 2015-01-17 | 41.85 |
ADS | Put | Written | 300 | 210 | AMERICAN | 2015-01-17 | 46.05 |
ADS | Call | Purchased | 300 | 320 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Written | 300 | 200 | AMERICAN | 2015-04-17 | 40.2 |
ADS | Call | Purchased | 300 | 205 | AMERICAN | 2015-04-17 | 8.95 |
ADS | Put | Written | 300 | 170 | AMERICAN | 2014-10-18 | 10 |
ADS | Call | Purchased | 300 | 185 | AMERICAN | 2014-10-18 | 6.35 |
ADS | Put | Written | 300 | 190 | AMERICAN | 2014-10-18 | 24.8 |
ADS | Put | Written | 300 | 210 | AMERICAN | 2014-10-18 | 43 |
ADS | Put | Written | 300 | 255 | AMERICAN | 2014-10-18 | 84.8 |
ADS | Call | Purchased | 300 | 260 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Call | Purchased | 300 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Call | Purchased | 300 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Put | Written | 300 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 300 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 300 | 275 | AMERICAN | 2014-10-18 | 104.65 |
ADS | Put | Written | 300 | 262.5 | AMERICAN | 2014-10-31 | 92.2 |
ADS | Put | Written | 300 | 275 | AMERICAN | 2014-11-14 | 104.6 |
ADS | Call | Purchased | 400 | 180 | AMERICAN | 2015-01-17 | 17.4 |
ADS | Call | Purchased | 400 | 180 | AMERICAN | 2015-01-17 | 17.4 |
ADS | Put | Written | 400 | 180 | AMERICAN | 2015-01-17 | 24.45 |
ADS | Put | Written | 400 | 185 | AMERICAN | 2015-01-17 | 27.65 |
ADS | Put | Written | 400 | 220 | AMERICAN | 2015-01-17 | 54.4 |
ADS | Call | Purchased | 400 | 320 | AMERICAN | 2015-01-17 | 0.0001 |
ADS | Put | Written | 400 | 190 | AMERICAN | 2015-04-17 | 33.45 |
ADS | Put | Written | 400 | 195 | AMERICAN | 2015-04-17 | 36.8 |
ADS | Call | Purchased | 400 | 285 | AMERICAN | 2015-04-17 | 0.0001 |
ADS | Call | Purchased | 400 | 160 | AMERICAN | 2014-10-18 | 16.2 |
ADS | Call | Purchased | 400 | 175 | AMERICAN | 2014-10-18 | 9.05 |
ADS | Put | Written | 400 | 175 | AMERICAN | 2014-10-18 | 13.2 |
ADS | Put | Written | 400 | 180 | AMERICAN | 2014-10-18 | 16.75 |
ADS | Put | Written | 400 | 200 | AMERICAN | 2014-10-18 | 32.75 |
ADS | Put | Written | 400 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Put | Written | 400 | 252.5 | AMERICAN | 2014-10-18 | 82.35 |
ADS | Call | Purchased | 400 | 270 | AMERICAN | 2014-10-18 | 0.25 |
ADS | Call | Purchased | 400 | 270 | AMERICAN | 2014-10-18 | 0.25 |
ADS | Put | Written | 400 | 250 | AMERICAN | 2014-10-31 | 80 |
ADS | Call | Purchased | 400 | 265 | AMERICAN | 2014-11-14 | 2.5 |
ADS | Put | Written | 400 | 195 | AMERICAN | 2014-11-22 | 33.7 |
ADS | Call | Purchased | 500 | 270 | AMERICAN | 2015-01-17 | 2.175 |
ADS | Call | Purchased | 500 | 165 | AMERICAN | 2014-10-18 | 13.5 |
ADS | Put | Written | 500 | 165 | AMERICAN | 2014-10-18 | 7.1 |
ADS | Put | Written | 500 | 180 | AMERICAN | 2014-10-18 | 16.75 |
ADS | Call | Purchased | 500 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Call | Purchased | 500 | 235 | AMERICAN | 2014-10-18 | 1.425 |
ADS | Call | Purchased | 600 | 195 | AMERICAN | 2015-01-17 | 10.85 |
ADS | Call | Purchased | 600 | 220 | AMERICAN | 2015-01-17 | 5.35 |
ADS | Call | Purchased | 600 | 250 | AMERICAN | 2015-01-17 | 2.65 |
ADS | Put | Written | 600 | 170 | AMERICAN | 2015-04-17 | 21.5 |
ADS | Put | Written | 600 | 105 | AMERICAN | 2014-10-18 | 0.0001 |
ADS | Put | Written | 600 | 170 | AMERICAN | 2014-10-18 | 10 |
ADS | Put | Written | 600 | 175 | AMERICAN | 2014-10-18 | 13.2 |
ADS | Put | Written | 600 | 195 | AMERICAN | 2014-10-18 | 29.15 |
ADS | Put | Written | 600 | 195 | AMERICAN | 2014-10-18 | 29.15 |
ADS | Call | Purchased | 600 | 265 | AMERICAN | 2014-10-18 | 0.3 |
ADS | Call | Purchased | 600 | 270 | AMERICAN | 2014-10-18 | 0.25 |
ADS | Put | Written | 600 | 275 | AMERICAN | 2014-11-14 | 104.6 |
ADS | Put | Written | 600 | 275 | AMERICAN | 2014-11-22 | 105.1 |
ADS | Put | Written | 700 | 195 | AMERICAN | 2015-01-17 | 34.8 |
ADS | Put | Written | 700 | 210 | AMERICAN | 2015-01-17 | 46.05 |
ADS | Put | Written | 700 | 220 | AMERICAN | 2015-01-17 | 54.4 |
ADS | Put | Written | 700 | 180 | AMERICAN | 2015-04-17 | 27.2 |
ADS | Put | Written | 700 | 185 | AMERICAN | 2015-04-17 | 30.3 |
ADS | Put | Written | 700 | 150 | AMERICAN | 2014-10-18 | 2.05 |
ADS | Call | Purchased | 700 | 175 | AMERICAN | 2014-10-18 | 9.05 |
ADS | Call | Purchased | 700 | 175 | AMERICAN | 2014-10-18 | 9.05 |
ADS | Put | Written | 700 | 175 | AMERICAN | 2014-10-18 | 13.2 |
ADS | Call | Purchased | 700 | 275 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Call | Purchased | 700 | 260 | AMERICAN | 2014-11-14 | 0.1 |
ADS | Put | Written | 700 | 140 | AMERICAN | 2014-11-22 | 4 |
ADS | Call | Purchased | 800 | 135 | AMERICAN | 2015-01-17 | 40.15 |
ADS | Call | Purchased | 800 | 220 | AMERICAN | 2015-01-17 | 5.35 |
ADS | Call | Purchased | 800 | 275 | AMERICAN | 2015-01-17 | 0.775 |
ADS | Call | Purchased | 800 | 180 | AMERICAN | 2014-10-18 | 8.25 |
ADS | Put | Written | 800 | 195 | AMERICAN | 2014-10-18 | 29.15 |
ADS | Put | Written | 800 | 250 | AMERICAN | 2014-10-18 | 79.95 |
ADS | Put | Written | 800 | 260 | AMERICAN | 2014-10-18 | 89.7 |
ADS | Put | Written | 900 | 215 | AMERICAN | 2015-01-17 | 50.3 |
ADS | Call | Purchased | 900 | 265 | AMERICAN | 2015-01-17 | 0.875 |
ADS | Call | Purchased | 900 | 285 | AMERICAN | 2015-04-17 | 0.0001 |
ADS | Call | Purchased | 900 | 295 | AMERICAN | 2015-04-17 | 0.0001 |
ADS | Put | Written | 900 | 155 | AMERICAN | 2014-10-18 | 3.5 |
ADS | Put | Written | 900 | 240 | AMERICAN | 2014-10-18 | 70.8 |
ADS | Call | Purchased | 900 | 245 | AMERICAN | 2014-10-18 | 0.875 |
ADS | Put | Written | 900 | 200 | AMERICAN | 2014-11-22 | 37.5 |
ADS | Call | Purchased | 1000 | 130 | AMERICAN | 2015-01-17 | 43.8 |
ADS | Call | Purchased | 1000 | 140 | AMERICAN | 2015-01-17 | 36.45 |
ADS | Put | Written | 1000 | 140 | AMERICAN | 2015-01-17 | 6.05 |
ADS | Call | Purchased | 1000 | 145 | AMERICAN | 2015-01-17 | 32.85 |
ADS | Call | Purchased | 1000 | 150 | AMERICAN | 2015-01-17 | 29.85 |
ADS | Call | Purchased | 1000 | 165 | AMERICAN | 2015-01-17 | 21.65 |
ADS | Put | Written | 1000 | 165 | AMERICAN | 2015-01-17 | 15.65 |
ADS | Call | Purchased | 1000 | 170 | AMERICAN | 2015-01-17 | 19.7 |
ADS | Put | Written | 1000 | 175 | AMERICAN | 2015-01-17 | 21.35 |
ADS | Put | Written | 1000 | 285 | AMERICAN | 2015-01-17 | 114.9 |
ADS | Call | Purchased | 1000 | 195 | AMERICAN | 2017-01-20 | 23.55 |
ADS | Call | Purchased | 1000 | 250 | AMERICAN | 2017-01-20 | 9.1 |
ADS | Call | Purchased | 1000 | 210 | AMERICAN | 2014-10-18 | 2.9 |
ADS | Put | Written | 1000 | 245 | AMERICAN | 2014-10-18 | 75.05 |
ADS | Call | Purchased | 1000 | 255 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Put | Written | 1000 | 135 | AMERICAN | 2014-11-22 | 3.15 |
ADS | Call | Purchased | 1000 | 270 | AMERICAN | 2014-11-22 | 1.325 |
ADS | Call | Purchased | 1000 | 275 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Call | Purchased | 1100 | 175 | AMERICAN | 2015-01-17 | 17.25 |
ADS | Call | Purchased | 1100 | 205 | AMERICAN | 2015-01-17 | 8.35 |
ADS | Call | Purchased | 1100 | 280 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Put | Written | 1100 | 175 | AMERICAN | 2015-04-17 | 24.35 |
ADS | Call | Purchased | 1100 | 255 | AMERICAN | 2014-10-18 | 0.55 |
ADS | Put | Written | 1100 | 255 | AMERICAN | 2014-10-18 | 84.8 |
ADS | Put | Written | 1200 | 225 | AMERICAN | 2015-01-17 | 58.7 |
ADS | Call | Purchased | 1200 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Call | Purchased | 1200 | 265 | AMERICAN | 2015-01-17 | 0.875 |
ADS | Put | Written | 1200 | 180 | AMERICAN | 2014-10-18 | 16.75 |
ADS | Call | Purchased | 1200 | 190 | AMERICAN | 2014-10-18 | 5.55 |
ADS | Call | Purchased | 1200 | 275 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Call | Purchased | 1200 | 235 | AMERICAN | 2014-10-31 | 2.45 |
ADS | Put | Written | 1200 | 230 | AMERICAN | 2014-11-28 | 61.95 |
ADS | Call | Purchased | 1300 | 190 | AMERICAN | 2015-01-17 | 13.05 |
ADS | Put | Written | 1300 | 190 | AMERICAN | 2015-01-17 | 31.2 |
ADS | Call | Purchased | 1300 | 262.5 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Put | Written | 1300 | 265 | AMERICAN | 2014-10-18 | 94.7 |
ADS | Put | Written | 1300 | 85 | AMERICAN | 2014-10-18 | 0.025 |
ADS | Put | Written | 1400 | 175 | AMERICAN | 2016-01-15 | 31.5 |
ADS | Call | Purchased | 1400 | 280 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Call | Purchased | 1400 | 285 | AMERICAN | 2015-04-17 | 0.0001 |
ADS | Put | Written | 1400 | 225 | AMERICAN | 2014-10-18 | 55.7 |
ADS | Call | Purchased | 1500 | 200 | AMERICAN | 2015-01-17 | 9.7 |
ADS | Call | Purchased | 1500 | 235 | AMERICAN | 2015-01-17 | 3.3 |
ADS | Put | Written | 1600 | 170 | AMERICAN | 2015-01-17 | 18.35 |
ADS | Call | Purchased | 1600 | 200 | AMERICAN | 2015-01-17 | 9.7 |
ADS | Put | Written | 1600 | 225 | AMERICAN | 2015-01-17 | 58.7 |
ADS | Call | Purchased | 1600 | 280 | AMERICAN | 2015-04-17 | 0.0001 |
ADS | Put | Written | 1600 | 260 | AMERICAN | 2014-10-18 | 89.7 |
ADS | Call | Purchased | 1700 | 180 | AMERICAN | 2015-01-17 | 17.4 |
ADS | Call | Purchased | 1700 | 245 | AMERICAN | 2014-10-18 | 0.875 |
ADS | Put | Written | 1900 | 200 | AMERICAN | 2015-01-17 | 38.3 |
ADS | Call | Purchased | 1900 | 200 | AMERICAN | 2014-10-18 | 3.65 |
ADS | Call | Purchased | 2000 | 265 | AMERICAN | 2015-01-17 | 0.875 |
ADS | Put | Written | 2000 | 150 | AMERICAN | 2014-10-18 | 2.05 |
ADS | Call | Purchased | 2000 | 155 | AMERICAN | 2014-10-18 | 19.4 |
ADS | Call | Purchased | 2000 | 170 | AMERICAN | 2014-10-18 | 11.2 |
ADS | Call | Purchased | 2000 | 220 | AMERICAN | 2014-10-18 | 1.85 |
ADS | Call | Purchased | 2000 | 240 | AMERICAN | 2014-10-31 | 2.525 |
ADS | Call | Purchased | 2000 | 205 | AMERICAN | 2014-11-22 | 6.9 |
ADS | Put | Written | 2100 | 240 | AMERICAN | 2014-10-18 | 70.8 |
ADS | Call | Purchased | 2100 | 275 | AMERICAN | 2014-10-18 | 0.275 |
ADS | Put | Written | 2200 | 200 | AMERICAN | 2015-01-17 | 38.3 |
ADS | Call | Purchased | 2200 | 205 | AMERICAN | 2015-01-17 | 8.35 |
ADS | Call | Purchased | 2300 | 185 | AMERICAN | 2015-01-17 | 14.85 |
ADS | Put | Written | 2400 | 190 | AMERICAN | 2015-01-17 | 31.2 |
ADS | Call | Purchased | 2400 | 250 | AMERICAN | 2014-10-18 | 0.675 |
ADS | Call | Purchased | 2500 | 195 | AMERICAN | 2016-01-15 | 18.05 |
ADS | Call | Purchased | 2500 | 195 | AMERICAN | 2015-01-17 | 10.85 |
ADS | Call | Purchased | 2500 | 255 | AMERICAN | 2015-01-17 | 1.475 |
ADS | Put | Written | 2600 | 185 | AMERICAN | 2015-01-17 | 27.65 |
ADS | Put | Written | 2700 | 180 | AMERICAN | 2015-01-17 | 24.45 |
ADS | Put | Written | 2700 | 200 | AMERICAN | 2014-10-18 | 32.75 |
ADS | Put | Written | 2800 | 185 | AMERICAN | 2015-01-17 | 27.65 |
ADS | Call | Purchased | 2900 | 250 | AMERICAN | 2014-10-18 | 0.675 |
ADS | Call | Purchased | 3000 | 270 | AMERICAN | 2015-01-17 | 2.175 |
ADS | Call | Purchased | 3100 | 235 | AMERICAN | 2014-10-18 | 1.425 |
ADS | Put | Written | 3100 | 190 | AMERICAN | 2014-11-22 | 30.15 |
ADS | Put | Written | 3200 | 190 | AMERICAN | 2015-01-17 | 31.2 |
ADS | Put | Written | 3200 | 190 | AMERICAN | 2014-11-22 | 30.15 |
ADS | Call | Purchased | 3300 | 240 | AMERICAN | 2015-01-17 | 2.85 |
ADS | Put | Written | 3300 | 195 | AMERICAN | 2014-10-18 | 29.15 |
ADS | Put | Written | 3400 | 215 | AMERICAN | 2015-01-17 | 50.3 |
ADS | Put | Written | 3400 | 240 | AMERICAN | 2015-01-17 | 72.05 |
ADS | Put | Written | 3400 | 205 | AMERICAN | 2014-10-18 | 37.25 |
ADS | Call | Purchased | 3700 | 200 | AMERICAN | 2014-10-18 | 3.65 |
ADS | Put | Written | 3700 | 145 | AMERICAN | 2014-11-22 | 4.65 |
ADS | Put | Written | 4000 | 200 | AMERICAN | 2014-11-22 | 37.5 |
ADS | Call | Purchased | 4100 | 235 | AMERICAN | 2015-01-17 | 3.3 |
ADS | Call | Purchased | 4100 | 232.5 | AMERICAN | 2014-10-31 | 2.5 |
ADS | Call | Purchased | 4200 | 200 | AMERICAN | 2015-01-17 | 9.7 |
ADS | Put | Written | 4300 | 175 | AMERICAN | 2014-10-18 | 13.2 |
ADS | Put | Written | 4300 | 235 | AMERICAN | 2014-10-18 | 65.4 |
ADS | Put | Written | 4400 | 210 | AMERICAN | 2015-01-17 | 46.05 |
ADS | Call | Purchased | 4500 | 220 | AMERICAN | 2015-01-17 | 5.35 |
ADS | Put | Written | 4600 | 235 | AMERICAN | 2014-10-18 | 65.4 |
ADS | Call | Purchased | 4700 | 230 | AMERICAN | 2014-10-18 | 1.45 |
ADS | Put | Written | 4900 | 220 | AMERICAN | 2015-01-17 | 54.4 |
ADS | Put | Written | 4900 | 230 | AMERICAN | 2014-10-18 | 61 |
ADS | Call | Purchased | 5000 | 270 | AMERICAN | 2014-11-14 | 0.1 |
ADS | Put | Written | 5100 | 180 | AMERICAN | 2014-11-22 | 23.5 |
ADS | Put | Written | 5600 | 200 | AMERICAN | 2015-01-17 | 38.3 |
ADS | Put | Written | 5700 | 150 | AMERICAN | 2014-11-22 | 5.95 |
ADS | Put | Written | 6000 | 190 | AMERICAN | 2015-01-17 | 31.2 |
ADS | Call | Purchased | 6000 | 252.5 | AMERICAN | 2014-10-18 | 0.525 |
ADS | Call | Purchased | 6800 | 270 | AMERICAN | 2014-10-18 | 0.25 |
ADS | Call | Purchased | 7000 | 195 | AMERICAN | 2014-10-18 | 4.7 |
ADS | Put | Written | 7200 | 150 | AMERICAN | 2015-01-17 | 9.35 |
ADS | Call | Purchased | 7300 | 270 | AMERICAN | 2015-01-17 | 2.175 |
ADS | Call | Purchased | 7400 | 260 | AMERICAN | 2014-10-24 | 0.05 |
ADS | Put | Written | 7900 | 245 | AMERICAN | 2014-10-18 | 75.05 |
ADS | Call | Purchased | 8000 | 260 | AMERICAN | 2014-10-24 | 0.05 |
ADS | Put | Written | 9000 | 195 | AMERICAN | 2015-04-17 | 36.8 |
ADS | Put | Written | 9100 | 200 | AMERICAN | 2015-01-17 | 38.3 |
ADS | Put | Written | 9200 | 200 | AMERICAN | 2014-10-18 | 32.75 |
ADS | Put | Written | 10100 | 185 | AMERICAN | 2015-01-17 | 27.65 |
ADS | Call | Purchased | 10100 | 280 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Put | Written | 10300 | 215 | AMERICAN | 2014-10-18 | 46.25 |
ADS | Put | Written | 10900 | 200 | AMERICAN | 2014-10-18 | 32.75 |
ADS | Call | Purchased | 12400 | 265 | AMERICAN | 2015-01-17 | 0.875 |
ADS | Put | Written | 12500 | 180 | AMERICAN | 2014-10-18 | 16.75 |
ADS | Put | Written | 13100 | 235 | AMERICAN | 2014-10-18 | 65.4 |
ADS | Put | Written | 13200 | 190 | AMERICAN | 2015-01-17 | 31.2 |
ADS | Call | Purchased | 13300 | 260 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Put | Written | 13500 | 220 | AMERICAN | 2015-01-17 | 54.4 |
ADS | Put | Written | 13500 | 225 | AMERICAN | 2014-10-18 | 55.7 |
ADS | Call | Purchased | 13700 | 260 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Call | Purchased | 15200 | 270 | AMERICAN | 2015-01-17 | 2.175 |
ADS | Call | Purchased | 17800 | 275 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Call | Purchased | 18000 | 270 | AMERICAN | 2015-01-17 | 2.175 |
ADS | Call | Purchased | 18000 | 260 | AMERICAN | 2014-10-18 | 0.35 |
ADS | Put | Written | 21400 | 230 | AMERICAN | 2014-10-18 | 61 |
ADS | Call | Purchased | 24100 | 260 | AMERICAN | 2015-01-17 | 2.425 |
ADS | Call | Purchased | 27800 | 275 | AMERICAN | 2014-11-22 | 0.05 |
ADS | Call | Purchased | 31200 | 270 | AMERICAN | 2014-11-22 | 1.325 |
ADS | Call | Purchased | 35300 | 260 | AMERICAN | 2015-01-17 | 2.425 |
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.
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