TR-1 (i) NOTIFICATION OF MAJOR INTERESTS IN SHARES
1. Identity of the issuer or the underlying issuer of existing shares to which
voting rights are attached (ii):
RIGHTMOVE PLC
2. Reason for the notification State
Yes/No
An acquisition or disposal of voting rights x
An acquisition or disposal of financial instruments Yes
which may result in the
acquisition of shares already issued to which voting
rights are attached
An event changing the breakdown of voting rights
Other (please specify): Scheme of Arrangement and Yes
listing of new holding company
3. Full name of person(s) subject to the notification Baillie Gifford & Co
obligation (iii):
4. Full name of shareholder(s) (if different from 3.)
(iv):
5. Date of the transaction (and date on which the 28 January 2008
threshold is crossed
or reached if different) (v):
6. Date on which issuer notified: 4 February 2008
7. Threshold(s) that is/are crossed or reached: The level of holdings
remains the same as those
held immediately prior to
the Scheme of Arrangement
which became effective on
28 January 2008
8. Notified details:
A: Voting rights attached to shares
Class/type of Situation Resulting situation after the triggering
shares previous to transaction (vii)
if possible the Triggering
using the ISIN transaction (vi)
CODE
Number Number Number Number of voting % of voting
of of of rights (ix) rights
Shares Voting shares
Rights
(viii)
Direct Indirect Direct Indirect
Ord 1p Shares 0 0 10,304,488 10,304,488 7.96%
GB00B2987V85
B: Financial Instruments
Resulting situation after the triggering transaction
Type of Expiration Exercise/ Number of voting % of
financial date (xiii) Conversion rights that may be voting
instrument Period/ Date (xiv) acquired if the rights
instrument
is exercised/
converted
N/A
Total (A+B)
Number of voting rights % of voting rights
10,304,488 7.96
9. Chain of controlled undertakings through which the voting rights and/or the
financial instruments are effectively held, if applicable:
In the narrative below, the figures in [ ] indicate the amount of voting rights
and the percentage held by each controlled undertaking where relevant.
Baillie Gifford & Co, a discretionary investment manager, is the parent
undertaking of an investment management group.
Its wholly owned direct subsidiary undertaking Baillie Gifford Overseas Limited
[262011; 0.2%] is also a discretionary investment manager.
Its wholly owned direct subsidiary undertaking Baillie Gifford Life Limited
[1032528; 0.8%] is a life assurance company which procures discretionary
investment management services from Baillie Gifford & Co in respect of its own
account shareholdings.
Its wholly owned indirect (via Baillie Gifford Life Limited) subsidiary
undertaking Baillie Gifford & Co Limited [941124; 0.7%] is an OEIC Authorised
Corporate Director and Unit Trust Manager which has delegated its discretionary
investment management role to Baillie Gifford & Co.
Proxy Voting:
10. Name of the proxy holder: N/A
11. Number of voting rights proxy holder will cease to hold: N/A
12. Date on which proxy holder will cease to hold voting N/A
rights:
13. Additional information: Notification
using the total
voting rights
figure of
129,399,978
14. Contact name: Liz Taylor
15. Contact telephone number: 0207 087 0700
Annex Notification Of Major Interests In Shares (xvi)
A: Identity of the person or legal entity subject to the
notification obligation
Full name (including legal form for legal entities)
Contact address (registered office for legal entities)
Phone number
Other useful information (at least legal representative for
legal persons)
B: Identity of the notifier, if applicable (xvii)
Full name
Contact address
Phone number
Other useful information (e.g. functional relationship with
the person
or legal entity subject to the notification obligation)
C: Additional information
*A Private Investor is a recipient of the information who meets all of the conditions set out below, the recipient:
Obtains access to the information in a personal capacity;
Is not required to be regulated or supervised by a body concerned with the regulation or supervision of investment or financial services;
Is not currently registered or qualified as a professional securities trader or investment adviser with any national or state exchange, regulatory authority, professional association or recognised professional body;
Does not currently act in any capacity as an investment adviser, whether or not they have at some time been qualified to do so;
Uses the information solely in relation to the management of their personal funds and not as a trader to the public or for the investment of corporate funds;
Does not distribute, republish or otherwise provide any information or derived works to any third party in any manner or use or process information or derived works for any commercial purposes.
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