RNS Number:6184C
Morley Fund Management Limited
17 October 2002


                   Date of disclosure: 17 OCTOBER 2002           FORM 8.1/8.3


Lodge with Company Announcements Office (which will publicise and copy to the
Panel). Use separate form for each class of securities in which dealings have
been made.


DISCLOSURE UNDER RULES 8.1(a), 8.1(b)(i) AND 8.3 OF THE CITY CODE ON TAKEOVERS
AND MERGERS


Date of dealing:    16/10/02


Dealing in:         CMG ORD                        (name of company)


(1) Class of securities (e.g. ordinary shares)                   GBP 0.025


(2) Amount bought                     Amount sold                 Price per unit
    0                                 2,183                       0.5713



(3) Resultant total of the same class owned or controlled 
    (and percentage of class):        30,781,543
                                      4.960%


(4) Party making disclosure:         MORLEY FUND MANAGEMENT LIMITED AND NORWICH 
                                     UNION INVESTMENT MANAGEMENT


(5) EITHER          (a)     Name of purchaser/vendor (Note 1)

    OR              (b)     If dealing for discretionary client(s), name of fund 
                            management organisation

                            Certain Subsidiaries of AVIVA PLC


(6)        Reason for disclosure (Note 2):

           (a)    Associate of     (i)     offeror (Note 3)           NO
                                   (ii)    offeree company            NO


           Specify which category or categories of associate (1-8 overleaf):
           If category (8), explain:


           (b)    Rule 8.3 (i.e. disclosure because of ownership or control of 
                  1% or more of the class of relevant securities dealt in)  YES


Signed, for and on behalf of the part named in (4) above:


(Also print name of signatory):      M. Dunhill


Telephone and extension number:      020 7809 8684



Note 1:     Specify owner, not nominee or vehicle company. If relevant, also
identify controller of owner, e.g. where an owner normally acts on instructions
of a controller.


Note 2:     Disclosure might be made for more than one reason; if so,
state all reasons.

Note 3:     Specify which offeror if there is more than one.

Note 4:     When an arrangement exists with any offeror, with the
offeree company or with an associate of any offeror or of the offeree
company in relation to relevant securities, details of such arrangement
must be disclosed, as required by Note 6 on Rule 8.

Note 5:     It may be necessary, particularly when disclosing derivative
transactions, to append a sheet to this disclosure form so that all
relevant information can be given.

Note 6:     In the case of an average price bargain, each underlying
trade should be disclosed.

For full details of disclosure requirements, see Rule 8 of the Code. If
in doubt, contact the Panel on Takeovers and Mergers, Tel. No: 0171 382
9026. Fax No: 0171 256 9386.



                      This information is provided by RNS
            The company news service from the London Stock Exchange
END

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