23rd Apr 2025 11:50
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:  | 
  | BARCLAYS CAPITAL SECURITIES LTD  | ||||
(b)  | Name of offeror/offeree in relation to whose  | 
  | URBAN LOGISTICS REIT PLC  | ||||
  | relevant securities this form relates:  | 
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(c)  | Name of the party to the offer with which exempt  | LONDONMETRIC PROPERTY PLC  | |||||
  | principal trader is connected  | 
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(d)  | Date position held/dealing undertaken:  | 
  | 22 Apr 2025  | ||||
(e)  | In addition to the company in 1(b) above, is the exempt principal  | YES:  | 
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  | trader making disclosures in respect of any other party to the offer?  | LONDONMETRIC PROPERTY PLC  | 
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2.  | POSITIONS OF THE EXEMPT PRINCIPAL TRADER  | ||||||
(a)  | Interests and short positions in the relevant securities of the offeror or offeree  | 
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  | to which the disclosure relates following the dealing (if any)  | 
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Class of relevant security:  | 1p ordinary  | ||||||
  | Interests  | Short Positions  | |||||
  | Number  | (%)  | Number  | (%)  | |||
(1)  | Relevant securities owned  | 
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  | and/or controlled:  | 
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  | 4,208,485  | 0.90%  | 1,853,488  | 0.40%  | 
(2)  | Cash-settled derivatives:  | 
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  | and/or controlled:  | 
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  | 1,223,030  | 0.26%  | 3,968,966  | 0.85%  | 
(3)  | Stock-settled derivatives (including options)  | 
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  | and agreements to purchase/sell:  | 
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  | 0  | 0.00%  | 0  | 0.00%  | 
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  | TOTAL:  | 
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  | 5,431,515  | 1.17%  | 5,822,454  | 1.25%  | 
(b)  | Rights to subscribe for new securities (including directors and other executive  | 
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  | options)  | 
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Class of relevant security in relation to  | 
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which subscription right exists  | 
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Details, including nature of the rights  | 
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concerned and relevant percentages:  | 
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3.  | DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER  | ||||||
(a)  | Purchases and sales  | 
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Class of relevant  | Purchase/sale  | Total number of  | Highest price per unit  | Lowest price per unit  | |||
security  | 
  | securities  | paid/received  | paid/received  | |||
1p ordinary  | Purchase  | 1,279,992  | 1.4720 GBP  | 1.4400 GBP  | |||
1p ordinary  | Sale  | 678,335  | 1.4636 GBP  | 1.4400 GBP  | |||
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(b)  | Cash-settled derivative transactions  | 
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Class of  | Product  | Nature of dealing  | Number of  | Price per  | |||
relevant  | description  | 
  | reference  | unit  | |||
security  | 
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  | securities  | 
  | |||
1p ordinary  | SWAP  | Decreasing Short  | 306,994  | 1.4400 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 2,700  | 1.4498 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 16,807  | 1.4512 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 15,942  | 1.4542 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 5,200  | 1.4598 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 10,063  | 1.4603 GBP  | |||
1p ordinary  | SWAP  | Decreasing Short  | 4,859  | 1.4628 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 82,678  | 1.4400 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 8,532  | 1.4540 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 353,456  | 1.4541 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 11,573  | 1.4544 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 172,875  | 1.4570 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 250,000  | 1.4590 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 63,817  | 1.4604 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 4,339  | 1.4606 GBP  | |||
1p ordinary  | SWAP  | Increasing Short  | 20,045  | 1.4649 GBP  | |||
1p ordinary  | CFD  | Increasing Long  | 24,699  | 1.4601 GBP  | |||
1p ordinary  | CFD  | Decreasing Long  | 9,683  | 1.4401 GBP  | |||
1p ordinary  | CFD  | Decreasing Long  | 11,011  | 1.4630 GBP  | |||
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(c)  | Stock-settled derivative transactions (including options)  | 
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(i)  | Writing, selling, purchasing or varying  | 
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Class  | Product  | Writing,  | Number  | Exercise  | Type  | Expiry  | Option  | 
of  | description  | purchasing,  | of  | price  | 
  | date  | money  | 
relevant  | 
  | selling,  | securities  | per unit  | 
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  | paid/  | 
security  | 
  | varying etc  | to which  | 
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  | received  | 
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  | option  | 
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  | per unit  | 
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  | relates  | 
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(ii)  | Exercising  | 
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Class of relevant  | Product description  | Exercising/ exercised against  | Number of  | Exercise price per  | |||
security  | 
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(d)  | Other dealings (including subscribing for new securities)  | 
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Class of relevant  | Nature of Dealings  | Details  | Price per unit (if  | ||||
security  | 
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  | applicable)  | ||||
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4.  | OTHER INFORMATION  | ||||||
(a)  | Indemnity and other dealings arrangements  | 
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Details of any indemnity or option arrangement, or any agreement or understanding,  | 
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formal or informal, relating to relevant securities which may be an inducement to deal  | 
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or refrain from dealing entered into by the exempt principal trader making the disclosure and any party  | 
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to the offer or any person acting in concert with a party to the offer:  | 
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NONE  | |||||||
(b)  | Agreements, arrangements or understandings relating to options or derivatives  | 
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Details of any agreement, arrangement or understanding, formal or informal, between  | 
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the exempt principal trader making the disclosure and any other person relating to:  | 
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(i) the voting rights of any relevant securities under any option; or  | 
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(ii) the voting rights of future acquisition or disposal of any relevant securities to which  | 
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any derivative is referenced:  | 
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NONE  | |||||||
(c)  | Attachments  | 
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Is a Supplemental Form 8 (Open Positions) attached?  | NO  | ||||||
Date of disclosure:  | 23 Apr 2025  | ||||||
Contact name:  | Large Holdings Regulatory Operations  | ||||||
Telephone number:  | 020 3134 7213  | ||||||
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