TIDMBARC TIDMSGC TIDMNEX

RNS Number : 8080K

Barclays PLC

09 May 2022

 
       FORM 
        8.3 
 
                      PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY 
                    A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 
                                                1% OR 
                                                MORE 
                             Rule 8.3 of the Takeover Code (the "Code") 
1.                                                                KEY INFORMATION 
(a)                 Full name of discloser:                               Barclays PLC. 
 
(b)                 Owner or controller of interest 
                     and short 
                    positions disclosed, if different 
                     from 1(a): 
(c)                 Name of offeror/offeree in relation                   STAGECOACH GROUP PLC 
                     to whose 
                    relevant securities this form 
                     relates: 
(d)                 If an exempt fund manager connected 
                     with an 
                    offeror/offeree, state this 
                     and specify identity of 
                    offeror/offeree: 
(e)                 Date position held/dealing undertaken:                06 May 2022 
(f)                 In addition to the company in                                          YES: 
                     1(c) above, is the discloser 
                     making 
                    disclosures in respect of any                         NATIONAL EXPRESS GROUP 
                     other party to the offer?                             PLC 
2.                                                                POSITIONS OF THE PERSON 
                                                                   MAKING THE DISCLOSURE 
(a)   Interests and short positions in the relevant securities 
       of the offeror or offeree 
      to which the disclosure relates following the dealing (if 
       any) 
Class of relevant security:                      125/228p ordinary 
                                                          Interests               Short Positions 
                                                     Number           (%)          Number       (%) 
(1)   Relevant securities 
       owned 
 and/or controlled:                                11,782,537        2.14%       2,059,914     0.37% 
 
(2)   Cash-settled derivatives: 
                                                    1,758,293        0.32%       11,471,022    2.08% 
 
(3)   Stock-settled derivatives 
       (including options) 
 and agreements to purchase/sell:                       0            0.00%           0         0.00% 
 
 
 TOTAL:                                            13,540,830        2.46%       13,530,936    2.45% 
 
(b)          Rights to subscribe for new securities (including 
              directors and other executive 
             options) 
Class of relevant security in relation to 
which subscription right exists 
Details, including nature of the rights 
concerned and relevant percentages: 
 
 
 
3.                                    DEALINGS (IF ANY) BY THE PERSON 
                                       MAKING THE DISCLOSURE 
(a)                Purchases and 
                    sales 
Class of             Purchase/sale    Number           Price per unit 
 relevant                              of 
    security                          securities 
 125/228p ordinary      Purchase          1,336                1.0519 GBP 
 125/228p ordinary      Purchase          4,178                1.0566 GBP 
 125/228p ordinary      Purchase          8,138                1.0589 GBP 
 125/228p ordinary      Purchase         15,041                1.0522 GBP 
 125/228p ordinary      Purchase         21,818                1.0560 GBP 
 125/228p ordinary      Purchase         27,513                1.0587 GBP 
 125/228p ordinary        Sale            1,336                1.0520 GBP 
 125/228p ordinary        Sale            4,471                1.0565 GBP 
 125/228p ordinary        Sale            8,723                1.0575 GBP 
 125/228p ordinary        Sale           16,687                1.0560 GBP 
 
 
(b)                Cash-settled derivative transactions 
Class of                Product        Nature of     Number        Price per 
                                         dealing      of 
    relevant          description                    reference        unit 
security                                             securities 
 125/228p ordinary          CFD            Long         2,142      1.0583 GBP 
 125/228p ordinary         SWAP            Long         11,052     1.0569 GBP 
 125/228p ordinary         SWAP           Short         4,639      1.0567 GBP 
 125/228p ordinary          CFD           Short         4,709      1.0573 GBP 
 125/228p ordinary          CFD           Short         8,138      1.0589 GBP 
 125/228p ordinary         SWAP           Short         22,343     1.0591 GBP 
 
 
(c)        Stock-settled derivative transactions (including options) 
(i)        Writing, selling, purchasing or varying 
  Class      Product       Writing,      Number        Exercise       Type     Expiry       Option 
   of      description   purchasing,       of            price                  date        money 
relevant                   selling,    securities      per unit                             paid/ 
security                   varying         to                                              received 
                              etc         which 
                                         option                                            per unit 
                                         relates 
 
 
(ii)       Exercising 
Class of relevant        Product description         Exercising/ exercised   Number       Exercise 
                                                            against           of           price per 
security                                                                     securities      unit 
 
 
(d)        Other dealings (including subscribing for new securities) 
Class of relevant         Nature of                         Details             Price 
                           Dealings                                            per unit 
                                                                                 (if 
security                                                                     applicable) 
 
4.                                                  OTHER INFORMATION 
(a)        Indemnity and other dealings 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 person 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 person 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 of future acquisition or disposal of any relevant 
 securities to which 
any derivative is referenced: 
                                                NONE 
(c)        Attachments 
Is a Supplemental Form 8 (Open                                             NO 
 Positions) attached? 
Date of disclosure:                                 9 May 2022 
Contact name:                                       Large Holdings Regulatory Operations 
Telephone number:                                   020 3134 7213 
 

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