23rd Jun 2010 10:43
| 
 
  | 
 FORM 8.5 (EPT/RI)  | 
| 
 
  | 
 PUBLIC DEALING DISCLOSURE BY AN EXEMPT PRINCIPAL TRADER WITH  | 
| 
 
  | 
 RECOGNISED INTERMEDIARY STATUS DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 
  | 
 Rule 8.5 of the Takeover Code (the "Code")  | 
| 
 
  | 
 1. KEY INFORMATION  | 
| 
 
  | 
 (a) Name of exempt principal trader:  | 
 Bank of America Merrill Lynch  | 
| 
 
  | 
 (b) Name of offeror/offeree in relation to whose  | 
 Investec Limited  | 
| 
 
  | 
 relevant securities this form relates:  | 
| 
 
  | 
 (c) Name of the party to the offer with which exempt  | 
 Advisor to Investec Plc  | 
| 
 
  | 
 
  | 
| 
 
  | 
 principal trader is connected:  | 
| 
 
  | 
 (d) Date dealing undertaken:  | 
 22/06/2010  | 
| 
 
  | 
 (e) Has the EPT previously disclosed, or is it today  | 
 YES - .  | 
| 
 
  | 
 disclosing, under the Code in respect of any other  | 
| 
 
  | 
 party to this offer?  | 
| 
 
  | 
 2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER  | 
| 
 
  | 
 (a) Purchases and sales  | 
| 
 
  | 
 Class of  | 
 Purchase/  | 
 Total number  | 
 Highest price  | 
 Lowest price  | 
| 
 
  | 
 relevant  | 
 Sales  | 
 of securities  | 
 per unit  | 
 per unit  | 
| 
 
  | 
 security  | 
 
  | 
 paid/received  | 
 paid/received  | 
| 
 
  | 
 Common - ZAE000081949  | 
 Purchase  | 
 5,387  | 
 ZAR 57.63  | 
 ZAR 57.63  | 
| 
 
  | 
 Common - ZAE000081949  | 
 Sale  | 
 2,772  | 
 ZAR 57.63  | 
 ZAR 57.63  | 
| 
 
  | 
 (b) Derivatives transactions (other than options)  | 
| 
 
  | 
 Class of  | 
 Product description  | 
 Nature of dealing  | 
 Number of  | 
 
  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
| 
 
  | 
 (c) Options transactions in respect of existing securities  | 
| 
 
  | 
 (i) Writing, selling, purchasing or varying  | 
| 
 
  | 
 Class of  | 
 
  | 
 Product  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type  | 
 Expiry  | 
 Option  | 
| 
 
  | 
 relevant  | 
 
  | 
 description  | 
 purchasing,  | 
 securities  | 
 price  | 
 
  | 
 date  | 
 money  | 
| 
 
  | 
 security  | 
 
  | 
 selling,  | 
 to which  | 
 per unit  | 
 
  | 
 paid/  | 
| 
 
  | 
 varying etc.  | 
 option  | 
 
  | 
 received  | 
| 
 
  | 
 relates  | 
 
  | 
 per unit  | 
| 
 
  | 
 (ii) Exercising  | 
| 
 
  | 
 Class of relevant  | 
 Product description  | 
 Number of securities  | 
 Exercise price per  | 
| 
 
  | 
 security  | 
 
  | 
 unit  | 
| 
 
  | 
 (d) Other dealings (including subscribing for new securities)  | 
| 
 
  | 
 Class of relevant  | 
 Nature of dealing  | 
 
  | 
 Details  | 
 Price per unit (if  | 
| 
 
  | 
 security  | 
 
  | 
 applicable)  | 
| 
 
  | 
 3. 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:  | 
| 
 
  | 
 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:  | 
| 
 
  | 
 NONE  | 
| 
 
  | 
 Date of disclosure:  | 
 23/06/2010  | 
| 
 
  | 
 Contact name:  | 
 Bhavika Mistry  | 
| 
 
  | 
 Telephone number:  | 
 +44 207 995 4747  | 
| 
 
  | 
 FORM 8.5 (EPT/RI)  | 
| 
 
  | 
 PUBLIC DEALING DISCLOSURE BY AN EXEMPT PRINCIPAL TRADER WITH  | 
| 
 
  | 
 RECOGNISED INTERMEDIARY STATUS DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 
  | 
 Rule 8.5 of the Takeover Code (the "Code")  | 
| 
 
  | 
 1. KEY INFORMATION  | 
| 
 
  | 
 (a) Name of exempt principal trader:  | 
 Bank of America Merrill Lynch  | 
| 
 
  | 
 (b) Name of offeror/offeree in relation to whose  | 
 Investec Plc  | 
| 
 
  | 
 relevant securities this form relates:  | 
| 
 
  | 
 (c) Name of the party to the offer with which exempt  | 
 Advisor to INVESTEC PLC  | 
| 
 
  | 
 
  | 
| 
 
  | 
 principal trader is connected:  | 
| 
 
  | 
 (d) Date dealing undertaken:  | 
 22/06/2010  | 
| 
 
  | 
 (e) Has the EPT previously disclosed, or is it today  | 
 YES - .  | 
| 
 
  | 
 disclosing, under the Code in respect of any other  | 
| 
 
  | 
 party to this offer?  | 
| 
 
  | 
 2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER  | 
| 
 
  | 
 (a) Purchases and sales  | 
| 
 
  | 
 Class of  | 
 Purchase/  | 
 Total number  | 
 Highest price  | 
 Lowest price  | 
| 
 
  | 
 relevant  | 
 Sales  | 
 of securities  | 
 per unit  | 
 per unit  | 
| 
 
  | 
 security  | 
 
  | 
 paid/received  | 
 paid/received  | 
| 
 
  | 
 Common - GB00B17BBQ50  | 
 Purchase  | 
 159,366  | 
 GBP 5.02  | 
 GBP 4.96  | 
| 
 
  | 
 Common - GB00B17BBQ50  | 
 Sale  | 
 263,877  | 
 GBP 4.99  | 
 GBP 4.96  | 
| 
 
  | 
 (b) Derivatives transactions (other than options)  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 4975  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 994  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 54000  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 14256  | 
 GBP 4.98  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 3024  | 
 GBP 4.98  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 2333  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 2160  | 
 GBP 4.98  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 2160  | 
 GBP 4.98  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 1358  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 996  | 
 GBP 4.98  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 LONG  | 
 50000  | 
 GBP 4.97  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 9889  | 
 GBP 4.99  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 14256  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 58237  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 54000  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 35125  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 3418  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 1258  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 1761  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 2160  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 2160  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 2352  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 30294  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 3024  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 1172  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 4590  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 5322  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 6426  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 6580  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 7451  | 
 GBP 4.97  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 8303  | 
 GBP 4.96  | 
| 
 
  | 
 Common -  | 
 Swap  | 
 SHORT  | 
 2800  | 
 GBP 5.00  | 
| 
 
  | 
 (c) Options transactions in respect of existing securities  | 
| 
 
  | 
 (i) Writing, selling, purchasing or varying  | 
| 
 
  | 
 Class of  | 
 
  | 
 Product  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type  | 
 Expiry  | 
 Option  | 
| 
 
  | 
 relevant  | 
 
  | 
 description  | 
 purchasing,  | 
 securities  | 
 price  | 
 
  | 
 date  | 
 money  | 
| 
 
  | 
 security  | 
 
  | 
 selling,  | 
 to which  | 
 per unit  | 
 
  | 
 paid/  | 
| 
 
  | 
 varying etc.  | 
 option  | 
 
  | 
 received  | 
| 
 
  | 
 relates  | 
 
  | 
 per unit  | 
| 
 
  | 
 (ii) Exercising  | 
| 
 
  | 
 Class of relevant  | 
 Product description  | 
 Number of securities  | 
 Exercise price per  | 
| 
 
  | 
 security  | 
 
  | 
 unit  | 
| 
 
  | 
 (d) Other dealings (including subscribing for new securities)  | 
| 
 
  | 
 Class of relevant  | 
 Nature of dealing  | 
 
  | 
 Details  | 
 Price per unit (if  | 
| 
 
  | 
 security  | 
 
  | 
 applicable)  | 
| 
 
  | 
 3. 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:  | 
| 
 
  | 
 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:  | 
| 
 
  | 
 NONE  | 
| 
 
  | 
 Date of disclosure:  | 
 23/06/2010  | 
| 
 
  | 
 Contact name:  | 
 Bhavika Mistry  | 
| 
 
  | 
 Telephone number:  | 
 +44 207 995 4747  | 
| 
 
  | 
 FORM 8.5 (EPT/RI)  | 
| 
 
  | 
 PUBLIC DEALING DISCLOSURE BY AN EXEMPT PRINCIPAL TRADER WITH  | 
| 
 
  | 
 RECOGNISED INTERMEDIARY STATUS DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 
  | 
 Rule 8.5 of the Takeover Code (the "Code")  | 
| 
 
  | 
 1. KEY INFORMATION  | 
| 
 
  | 
 (a) Name of exempt principal trader:  | 
 Bank of America Merrill Lynch  | 
| 
 
  | 
 (b) Name of offeror/offeree in relation to whose  | 
 RENSBURG SHEPPARDS PLC  | 
| 
 
  | 
 relevant securities this form relates:  | 
| 
 
  | 
 (c) Name of the party to the offer with which exempt  | 
 Advisor to Investec Plc  | 
| 
 
  | 
 
  | 
| 
 
  | 
 principal trader is connected:  | 
| 
 
  | 
 (d) Date dealing undertaken:  | 
 22/06/2010  | 
| 
 
  | 
 (e) Has the EPT previously disclosed, or is it today  | 
 YES - .  | 
| 
 
  | 
 disclosing, under the Code in respect of any other  | 
| 
 
  | 
 party to this offer?  | 
| 
 
  | 
 2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER  | 
| 
 
  | 
 (a) Purchases and sales  | 
| 
 
  | 
 Class of  | 
 Purchase/  | 
 Total number  | 
 Highest price  | 
 Lowest price  | 
| 
 
  | 
 relevant  | 
 Sales  | 
 of securities  | 
 per unit  | 
 per unit  | 
| 
 
  | 
 security  | 
 
  | 
 paid/received  | 
 paid/received  | 
| 
 
  | 
 Common - GB00B0712D26  | 
 Purchase  | 
 36,224  | 
 GBP 8.10  | 
 GBP 8.06  | 
| 
 
  | 
 Common - GB00B0712D26  | 
 Sale  | 
 376  | 
 GBP 8.10  | 
 GBP 8.07  | 
| 
 
  | 
 (b) Derivatives transactions (other than options)  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common - GB00B0712D26  | 
 Swap  | 
 LONG  | 
 35946  | 
 GBP 8.06  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common - GB00B0712D26  | 
 Swap  | 
 SHORT  | 
 98  | 
 GBP 8.06  | 
| 
 
  | 
 (c) Options transactions in respect of existing securities  | 
| 
 
  | 
 (i) Writing, selling, purchasing or varying  | 
| 
 
  | 
 Class of  | 
 
  | 
 Product  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type  | 
 Expiry  | 
 Option  | 
| 
 
  | 
 relevant  | 
 
  | 
 description  | 
 purchasing,  | 
 securities  | 
 price  | 
 
  | 
 date  | 
 money  | 
| 
 
  | 
 security  | 
 
  | 
 selling,  | 
 to which  | 
 per unit  | 
 
  | 
 paid/  | 
| 
 
  | 
 varying etc.  | 
 option  | 
 
  | 
 received  | 
| 
 
  | 
 relates  | 
 
  | 
 per unit  | 
| 
 
  | 
 (ii) Exercising  | 
| 
 
  | 
 Class of relevant  | 
 Product description  | 
 Number of securities  | 
 Exercise price per  | 
| 
 
  | 
 security  | 
 
  | 
 unit  | 
| 
 
  | 
 (d) Other dealings (including subscribing for new securities)  | 
| 
 
  | 
 3. 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:  | 
| 
 
  | 
 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:  | 
| 
 
  | 
 NONE  | 
| 
 
  | 
 Date of disclosure:  | 
 23/06/2010  | 
| 
 
  | 
 Contact name:  | 
 Bhavika Mistry  | 
| 
 
  | 
 Telephone number:  | 
 +44 207 995 4747  | 
| 
 
  | 
 FORM 8.5 (EPT/RI)  | 
| 
 
  | 
 PUBLIC DEALING DISCLOSURE BY AN EXEMPT PRINCIPAL TRADER WITH  | 
| 
 
  | 
 RECOGNISED INTERMEDIARY STATUS DEALING IN A CLIENT-SERVING CAPACITY  | 
| 
 
  | 
 Rule 8.5 of the Takeover Code (the "Code")  | 
| 
 
  | 
 1. KEY INFORMATION  | 
| 
 
  | 
 (a) Name of exempt principal trader:  | 
 Bank of America Merrill Lynch  | 
| 
 
  | 
 (b) Name of offeror/offeree in relation to whose  | 
 VT Group Plc  | 
| 
 
  | 
 relevant securities this form relates:  | 
| 
 
  | 
 (c) Name of the party to the offer with which exempt  | 
 Advisor to VT Group Plc  | 
| 
 
  | 
 
  | 
| 
 
  | 
 principal trader is connected:  | 
| 
 
  | 
 (d) Date dealing undertaken:  | 
 22/06/2010  | 
| 
 
  | 
 (e) Has the EPT previously disclosed, or is it today  | 
 YES - .  | 
| 
 
  | 
 disclosing, under the Code in respect of any other  | 
| 
 
  | 
 party to this offer?  | 
| 
 
  | 
 2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER  | 
| 
 
  | 
 (a) Purchases and sales  | 
| 
 
  | 
 Class of  | 
 Purchase/  | 
 Total number  | 
 Highest price  | 
 Lowest price  | 
| 
 
  | 
 relevant  | 
 Sales  | 
 of securities  | 
 per unit  | 
 per unit  | 
| 
 
  | 
 security  | 
 
  | 
 paid/received  | 
 paid/received  | 
| 
 
  | 
 Common - GB0031729733  | 
 Purchase  | 
 6,219  | 
 GBP 7.50  | 
 GBP 7.47  | 
| 
 
  | 
 Common - GB0031729733  | 
 Sale  | 
 5,923  | 
 GBP 7.49  | 
 GBP 7.49  | 
| 
 
  | 
 (b) Derivatives transactions (other than options)  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common - GB0031729733  | 
 Swap  | 
 LONG  | 
 951  | 
 GBP 7.47  | 
| 
 
  | 
 Common - GB0031729733  | 
 Swap  | 
 LONG  | 
 153  | 
 GBP 7.50  | 
| 
 
  | 
 Class of  | 
 Product  | 
 Nature of dealing  | 
 Number of  | 
 Price per unit  | 
| 
 
  | 
 relevant  | 
 description  | 
 
  | 
 reference securities  | 
| 
 
  | 
 security  | 
 eg. CFD  | 
| 
 
  | 
 Common - GB0031729733  | 
 Swap  | 
 SHORT  | 
 4187  | 
 GBP 7.49  | 
| 
 
  | 
 (c) Options transactions in respect of existing securities  | 
| 
 
  | 
 (i) Writing, selling, purchasing or varying  | 
| 
 
  | 
 Class of  | 
 
  | 
 Product  | 
 Writing,  | 
 Number of  | 
 Exercise  | 
 Type  | 
 Expiry  | 
 Option  | 
| 
 
  | 
 relevant  | 
 
  | 
 description  | 
 purchasing,  | 
 securities  | 
 price  | 
 
  | 
 date  | 
 money  | 
| 
 
  | 
 security  | 
 
  | 
 selling,  | 
 to which  | 
 per unit  | 
 
  | 
 paid/  | 
| 
 
  | 
 varying etc.  | 
 option  | 
 
  | 
 received  | 
| 
 
  | 
 relates  | 
 
  | 
 per unit  | 
| 
 
  | 
 (ii) Exercising  | 
| 
 
  | 
 Class of relevant  | 
 Product description  | 
 Number of securities  | 
 Exercise price per  | 
| 
 
  | 
 security  | 
 
  | 
 unit  | 
| 
 
  | 
 (d) Other dealings (including subscribing for new securities)  | 
| 
 
  | 
 3. 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:  | 
| 
 
  | 
 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:  | 
| 
 
  | 
 NONE  | 
| 
 
  | 
 Date of disclosure:  | 
 23/06/2010  | 
| 
 
  | 
 Contact name:  | 
 Bhavika Mistry  | 
| 
 
  | 
 Telephone number:  | 
 +44 207 995 4747  | 
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