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Rule 8.1- (Ryanair)

8th Mar 2007 11:56

Goldman Sachs Financial Markets08 March 2007 Rule 8.1/8.3 Irish Takeover Panel. Lodge with a RIS or Newstrack if appropriate and the Irish Takeover Panel. Usea separate form for each class of securities in which dealings have been made. Date of Disclosure 08 March 2007 DISCLOSURE UNDER RULES 8.1(a), 8.1(b)(i) and 8.3 OF THE IRISH TAKEOVER PANELACT, 1997 Date of dealing 07 March 2007 Dealing in (name of company)RyanAir Holdings Plc 1. Class of securities (eg ordinary shares)Shares 2. Amount bought Amount sold Price per unit EUR 100 43.3700 100 43.3700 100 43.3800 100 43.3800 100 43.3800 100 43.3800 24 43.3900 184 43.3900 192 43.3900 68 43.3900 68 43.3900 64 43.3900 100 43.4100 32 43.4100 68 43.4100 100 43.4100 100 43.4100 100 43.4200 100 43.4300 100 43.4300 100 43.4400 100 43.4400 100 43.4400 100 43.4500 200 43.4500 100 43.4500 100 43.4500 200 43.4600 276 43.4600 200 43.4600 100 43.4600 224 43.4600 200 43.4600 100 43.4600 200 43.4700 100 43.4700 400 43.4700 158 43.4700 100 43.4700 100 43.4800 200 43.4800 100 43.4800 100 43.4800 100 43.4800 100 43.4800 100 43.4800 200 43.4800 100 43.4800 200 43.4900 200 43.4900 200 43.4900 100 43.5000 100 43.5000 100 43.5000 100 43.5000 20 43.5000 100 43.5000 80 43.5000 100 43.5000 100 43.5200 190 43.5200 137 43.5200 100 43.5200 100 43.5200 200 43.5200 100 43.5200 200 43.5200 100 43.5200 100 43.5200 100 43.5200 100 43.5300 100 43.5300 100 43.5300 100 43.5400 100 43.5400 100 43.5400 100 43.5400 100 43.5500 165 43.5500 100 43.5500 100 43.5500 200 43.5600 135 43.5600 100 43.5600 143 43.5600 100 43.5900 100 43.5900 100 43.6000 100 43.6000 400 43.6000 100 43.6000 100 43.6000 100 43.6100 100 43.6200 142 43.6200 100 43.6200 3. Resultant total of the same class owned or controlled (and percentage ofclass)-31,500 (0.001%) 4. Party making disclosureGoldman Sachs Financial Markets, L.P 5. EITHER (a) Name of purchaser / vendor (Note 1)Goldman Sachs Financial Markets, L.P OR (b) if dealing for discretionary client(s), name of fund managementorganisation 6. Reason for disclosure (Note 2) (a) associate of (i) offeror (Note 3) NO (ii) offeree company YES Specify which category or categories of associate (1-8 overleaf)2 If category (8), explain (b) Rule 8.3 (ie disclosure because of ownership or control of 1% or more ofthe class of relevant securities dealt in) NO Signed, for and on behalf of the party named in (4) above (Also print name of signatory)Peter Highton Telephone and Extension number 0207-774-1935 Note 1. Specify owner, not nominee or vehicle company. If relevant, alsoidentify controller of owner, eg where an owner normally acts on instructions ofa controller Note 2. Disclosure might be made for more than one reason; if so, state allreasons. Note 3. Specify which offeror if there is more than one. Note 4. When an arrangement exists with any offeror, with the offereecompany or with an associate of any offeror or of the offeree company inrelation to relevant securities, details of such arrangement must be disclosed,as required by Rule 8.7. Note 5. It may be necessary, particularly when disclosing derivativetransactions, to append a sheet to this disclosure form so that all relevantinformation can be given. Note 6. In the case of an average price bargain, each underlying tradeshould be disclosed. Note 7. Unless otherwise stated, references to Rules are to Rules in Part Bof the Rules. Note 8. "Stock Exchange": see definition in Rule 2.1 (a) of Part A. For full details of disclosure requirements, see Rule 8. If in doubt, consultthe Panel. This information is provided by RNS The company news service from the London Stock Exchange

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RYA.L
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