TIDMBARC TIDMCBRY 
 
FORM 38.5(b) 
 
                 DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 
            WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RI STATUS 
                  BUT NOT DEALING IN A CLIENT-SERVING CAPACITY 
                       (Rule 38.5(b) of the Takeover Code) 
 
 
1.   KEY INFORMATION 
 
Name of exempt principal      Barclays Capital Inc 
trader 
Company dealt in              Cadbury plc 
Class of relevant security    ADR 
to which the dealings being 
disclosed relate (Note 1) 
Date of dealing               1 February 2010 
 
 
2.   INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE 
 
(a)  Interests and short positions (following dealing) in the class of relevant 
security dealt in (Note 2) 
 
                                      Long                  Short 
 
                                Number      (%)          Number          (%) 
 
(1) Relevant securities              0    0.00%          34,767        0.00% 
 
(2)  Derivatives (other  than        0    0.00%               0        0.00% 
options) 
 
(3) Options and agreements      72,200    0.01%          92,300        0.01% 
to purchase/sell 
 
Total                           72,200    0.01%         127,067        0.01% 
 
 
(b)  Interests and short positions in relevant securities of the company, other 
     than the class dealt in (Note 2) 
 
Class of relevant security:           Long                  Short 
 
                              Number       (%)         Number         (%) 
 
(1) Relevant securities 
 
(2)  Derivatives (other  than 
options) 
 
(3) Options and agreements 
to purchase/sell 
 
Total 
 
 
  (c)  Rights to subscribe (Note 2) 
 
Class of relevant security:   Details 
 
 
 
3.   DEALINGS (Note 3) 
 
(a)  Purchases and sales 
 
Purchase/sale            Number of securities    Price per unit (Note 4) 
                                                 (USD) 
Sale                     350                     53.24 
Sale                     1,800                   53.24 
Sale                     850                     53.24 
Sale                     300                     53.24 
Sale                     391                     53.24 
Sale                     1,200                   53.23926667 
Sale                     85                      52.82 
Sale                     100                     53.25 
Sale                     100                     53.25 
Sale                     100                     53.06 
Sale                     200                     53.25 
Sale                     1,800                   53.24 
Purchase                 100                     53.18 
Purchase                 200                     53.3542 
Purchase                 100                     53.06 
Purchase                 600                     53.25483333 
Purchase                 100                     53.4 
Purchase                 200                     53.085 
Purchase                 800                     53.15125 
Purchase                 4,891                   53.2398 
Purchase                 85                      52.82 
Purchase                 100                     53.25 
Purchase                 100                     53.25 
Purchase                 100                     53.25 
Purchase                 1,800                   53.24 
Purchase                 200                     53.155 
 
 
(b)  Derivatives transactions (other than options) 
 
Product       Long/short       Number of securities   Price per unit 
name,         (Note 5)         (Note 6)               (Note 4) 
e.g. CFD 
 
 
 
 
(c)  Options transactions in respect of existing securities 
 
(i)  Writing, selling, purchasing or varying 
 
Product      Writing,     Number of  Exercise  Type,     Expiry     Option 
name,        selling,     securities price     e.g.      date       money 
e.g. call    purchasing,  to which   (USD)     American,            paid/received 
option       varying      the                  European             per unit 
             etc.         option               etc.                 (Note 4) 
                          relates 
                          (Note 6) 
Put Option   Selling      100        50       American  20/03/2010  0.4 
Call Option  Selling      1,800      50       American  20/02/2010  3.179648861 
Call Option  Selling      800        55       American  20/03/2010  0.219805189 
Call Option  Selling      100        55       American  20/03/2010  0.25 
Call Option  Selling      100        55       American  20/03/2010  0.25 
Put Option   Purchasing   200        55       American  20/02/2010  2.25 
Put Option   Purchasing   1,400      55       American  20/02/2010  2.25 
Put Option   Purchasing   100        50       American  20/03/2010  0.45 
Put Option   Purchasing   3,400      50       American  20/03/2010  0.45 
Call Option  Purchasing   1,800      50       American  20/02/2010  3.179648861 
Call Option  Purchasing   100        50       American  20/02/2010  3.1 
Call Option  Purchasing   800        55       American  20/03/2010  0.219805189 
 
 
(ii) Exercising 
 
Product name, e.g. call  Number of securities    Exercise price per unit 
option                                           (Note 4) 
 
 
(d)  Other dealings (including new securities) (Note 3) 
 
 
Nature of transaction    Details                 Price per unit (if 
(Note 7)                                         applicable) (Note 4) 
 
 
4.   OTHER INFORMATION 
 
Agreements, arrangements or understandings relating to options or derivatives 
 
 
Full details of any agreement, arrangement or understanding between the 
person disclosing and any other person relating to the voting rights of 
any relevant securities under any option referred to on this form or 
relating to the voting rights or future acquisition or disposal of any 
relevant securities to which any derivative referred to on this form is 
referenced.  If none, this should be stated. 
 
 
Is a Supplemental Form 38.5(b) attached? (Note 8)                YES 
 
 
Date of disclosure                         2 February 2010 
Contact name                               Geoff Smith 
Telephone number                           020 7116 2913 
Name of offeree/offeror with which         Kraft Foods Inc 
connected 
Nature of connection (Note 9)              Advisor 
 
 
 
SUPPLEMENTAL FORM 38.5(b) 
 
 
                            DETAILS OF OPEN POSITIONS 
                 (This form should be attached to Form 38.5(b)) 
 
 
OPEN POSITIONS (Note 1) 
 
Product      Written or  Number of    Exercis  Type,      Expiry date 
name,        purchased   securities   e price  e.g. 
e.g. call                to which     (Note    American, 
option                   the option   2)       European 
                         or           (USD)    etc. 
                         derivative 
                         relates 
Put Option   Sold        5,100        45       American   20/02/2010 
Put Option   Sold        1,200        50       American   20/02/2010 
Put Option   Sold        22,000       45       American   20/03/2010 
Put Option   Sold        2,500        60       American   20/02/2010 
Put Option   Sold        6,900        45       American   19/06/2010 
Put Option   Sold        12,700       60       American   20/03/2010 
Put Option   Sold        3,300        45       American   18/09/2010 
Put Option   Sold        18,600       55       American   20/03/2010 
Call Option  Sold        500          50       American   19/06/2010 
Call Option  Sold        1,400        60       American   20/03/2010 
Call Option  Sold        18,100       50       American   20/03/2010 
Put Option   Purchased   7,200        50       American   19/06/2010 
Put Option   Purchased   1,600        55       American   20/02/2010 
Put Option   Purchased   2,100        50       American   18/09/2010 
Put Option   Purchased   5,400        50       American   20/03/2010 
Put Option   Purchased   300          55       American   19/06/2010 
Put Option   Purchased   1,900        55       American   18/09/2010 
Call Option  Purchased   100          45       American   20/03/2010 
Call Option  Purchased   13,100       50       American   20/02/2010 
Call Option  Purchased   1,000        60       American   19/06/2010 
Call Option  Purchased   23,100       55       American   20/03/2010 
Call Option  Purchased   4,300        55       American   19/06/2010 
Call Option  Purchased   4,700        55       American   18/09/2010 
Call Option  Purchased   7,400        55       American   20/02/2010 
 
Notes 
 
1. Where there are open option positions or open derivative positions (except 
 for CFDs), full details should be given.  Full details of any existing 
 agreements to purchase or to sell should also be given on this form. 
 
2. For all prices and other monetary amounts, the currency must be stated. 
 
For details of the Code's dealing disclosure requirements, see Rules 8 and 38.5 
and their Notes which can be viewed on the Takeover Panel's website at 
www.thetakeoverpanel.org.uk 
 

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