Rule 8.1- (Banco Santander, S

RNS Number : 2183B
Banco Santander S.A.
13 August 2008
 


AMENDED

DEALINGS BY OFFERORS, OFFEREE COMPANIES OR THEIR ASSOCIATES

FORM 8.1

FOR THEMSELVES OR FOR DISCRETIONARY CLIENTS


(Rules 8.1(a) and (b)(i) of the Takeover Code)










The Panel Executive has consented to Santander borrowing and lending relevant securities in Santander pursuant to Rule 4.6 of the Code



AMENDED TO CORRECT THE LONG POSITION IN RELEVANT SECURITIES. PLEASE SEE NOTE TO SECTION 1(a) AND SECTION 3(a) FOR

FURTHER INFORMATION









1.- KEY INFORMATION
















Name of person dealing (Note1 )

Grupo Santander

 

Company dealt in

Banco Santander S.A.

 

Class of relevant security to which the dealings 

 

 

 

being disclosed relate (Note 2)

 

 

COMMON SHARES

 

Date of dealing

08/08/2008

 

















2. INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE














(a) Interest and short positions (following dealing) in the class of class of relevant security in (Note 3)












 

 

 

Long

Short

 

 

 

 

Number  

(%)

Number  

 

(%)

(1) Relevant securities (**)

 

 

28.771.704

0,46

 

 

0.00

(2) Derivatives (other than options) (a)

 

169.674.050

2,71

 

666.898

0,01

(3) Options and agreements to purchase/sell (b)

 

31.116.956

0,50

 

42.814.581

0,68

Total(*)

 

 

229.562.710

3,67

 

43.481.479

0,69

(*) Included within the total of 229.562.710 shares in which Santander is interested (as defined in the Code) are 1.634.356 shares which have been lent by Santander.

Not included in this total are a further 1.364.000 shares which Santander has borrowed.





(a) The long position has been reduced by 75.000 shares. A long position in futures for such amount was incorrectly included here.

(bThe short position has been increased by 75.000 shares. A short position in options for such amount had not been included here by error.

(**) The long position has been reduced by 3.063.519 shares to correct: (i) a difference in the opening position on the first day of reporting, July 14, 2008, which was 2.437.591 shares lower than initially reported. This correction affects all the balances since the first disclosure on July 14, 2008; (ii) a trade as of July 22, 2008, reported as a sale of 3.246 shares when it should have been a sale of 32.436 shares. This correction, with a net effect of 29.190 shares, affects all the balances since July 22, 2008; and (iii) five trades as of August 8, 2008, for a total amount of 298.369 shares were reported as purchases at 12,11 Eur each, but should have been reported as sales (see section 3 (a) for the corrected trades).









(b) Interest and short positions in relevant securities of the company, other than the class dealt in 




   (Note 3)
















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 3)















Class of relevant securrity

 

 

Details

 

 

 

 

 

 

 

 

 

 

 

 

















3. DEALINGS (Note 4)
















(a) Purchases and sales
















Purchase/sale

 

Number of securities

Price per unit (Note 5)

 

Currency

SALE

 

 

15.000

 

 

12,04

EUR

PURCHASE

 

 

15.000

 

 

12,04

EUR

SALE

 

 

98.156

 

 

12,11

EUR

SALE

 

 

11.380

 

 

12,11

EUR

SALE

 

 

13.515

 

 

12,11

EUR

SALE

 

 

150.598

 

 

12,11

EUR

SALE

 

 

24.720

 

 

12,11

EUR

SALE

 

 

1.060

 

 

12,11

EUR

SALE

 

 

1.775

 

 

12,13

EUR

SALE

 

 

3.225

 

 

12,13

EUR

SALE

 

 

5.000

 

 

12,16

EUR

SALE

 

 

3.000

 

 

12,16

EUR

SALE

 

 

300

 

 

12,15

EUR

SALE

 

 

10.000

 

 

12,11

EUR

SALE

 

 

1.091

 

 

12,11

EUR

SALE

 

 

30.068

 

 

12,11

EUR

SALE

 

 

4.634

 

 

12,11

EUR

SALE

 

 

2.177

 

 

12,11

EUR

SALE

 

 

5.000

 

 

12,12

EUR

SALE

 

 

2.476

 

 

12,11

EUR

SALE

 

 

6.114

 

 

12,11

EUR

SALE

 

 

690

 

 

12,11

EUR

SALE

 

 

3.000

 

 

12,07

EUR

SALE

 

 

7.300

 

 

12,05

EUR

SALE

 

 

5.000

 

 

12,04

EUR

SALE

 

 

5.000

 

 

11,99

EUR

SALE

 

 

1.804

 

 

11,98

EUR

SALE

 

 

3.139

 

 

11,98

EUR

SALE

 

 

57

 

 

11,98

EUR

SALE

 

 

988

 

 

12

EUR

SALE

 

 

4.012

 

 

12

EUR

SALE

 

 

5.000

 

 

11,99

EUR

SALE

 

 

300

 

 

12,07

EUR

SALE

 

 

855

 

 

12,19

EUR

SALE

 

 

636

 

 

12,17

EUR

SALE

 

 

3.238

 

 

12,15

EUR

SALE

 

 

1.762

 

 

12,15

EUR

SALE

 

 

1.700

 

 

12,12

EUR

SALE

 

 

1.187

 

 

12,12

EUR

SALE

 

 

2.113

 

 

12,12

EUR

SALE

 

 

4.400

 

 

12,13

EUR

SALE

 

 

300

 

 

12,13

EUR

SALE

 

 

300

 

 

12,13

EUR

SALE

 

 

1.435

 

 

12,12

EUR

SALE

 

 

3.565

 

 

12,12

EUR

SALE

 

 

900

 

 

12,12

EUR

SALE

 

 

5

 

 

12,12

EUR

SALE

 

 

2.587

 

 

12,12

EUR

SALE

 

 

1.508

 

 

12,12

EUR

SALE

 

 

500

 

 

12,05

EUR

PURCHASE

 

 

12.957

 

 

12,11

EUR

PURCHASE

 

 

29.413

 

 

12,11

EUR

PURCHASE

 

 

4.880

 

 

12,11

EUR

PURCHASE

 

 

1.165

 

 

12,11

EUR

PURCHASE

 

 

3.835

 

 

12,11

EUR

PURCHASE

 

 

1.060

 

 

12,15

EUR

PURCHASE

 

 

3.640

 

 

12,16

EUR

PURCHASE

 

 

100

 

 

12,16

EUR

PURCHASE

 

 

100

 

 

12,16

EUR

PURCHASE

 

 

100

 

 

12,16

EUR

PURCHASE

 

 

100

 

 

12,16

EUR

PURCHASE

 

 

9.830

 

 

12,16

EUR

PURCHASE

 

 

1.285

 

 

12,06

EUR

PURCHASE

 

 

5.000

 

 

12,06

EUR

PURCHASE

 

 

500

 

 

12,06

EUR

PURCHASE

 

 

6.956

 

 

12,06

EUR

PURCHASE

 

 

1.367

 

 

12,06

EUR

PURCHASE

 

 

2.300

 

 

12,06

EUR

PURCHASE

 

 

11.792

 

 

12,06

EUR

PURCHASE

 

 

1.902

 

 

11,89

EUR

PURCHASE

 

 

3.461

 

 

11,98

EUR

PURCHASE

 

 

1.539

 

 

11,98

EUR

PURCHASE

 

 

5.861

 

 

11,98

EUR

PURCHASE

 

 

275

 

 

11,98

EUR

PURCHASE

 

 

1.164

 

 

11,98

EUR

PURCHASE

 

 

800

 

 

11,99

EUR

PURCHASE

 

 

212

 

 

12,02

EUR

PURCHASE

 

 

14.676

 

 

12,02

EUR

PURCHASE

 

 

324

 

 

12,02

EUR

PURCHASE

 

 

3.635

 

 

12,02

EUR

PURCHASE

 

 

1.365

 

 

12,02

EUR

PURCHASE

 

 

1.951

 

 

12,04

EUR

PURCHASE

 

 

3.049

 

 

12,04

EUR

PURCHASE

 

 

4.188

 

 

12,06

EUR

PURCHASE

 

 

812

 

 

12,06

EUR

PURCHASE

 

 

1.060

 

 

12,2

EUR

PURCHASE

 

 

1.765

 

 

12,11

EUR

PURCHASE

 

 

892

 

 

12,11

EUR

PURCHASE

 

 

2.343

 

 

12,11

EUR

PURCHASE

 

 

1.807

 

 

12,01

EUR

PURCHASE

 

 

2.432

 

 

12,02

EUR

PURCHASE

 

 

5.000

 

 

12,04

EUR

PURCHASE

 

 

3.193

 

 

12,01

EUR

PURCHASE

 

 

2.568

 

 

12,02

EUR

SALE

 

 

10.000

 

 

12,16

EUR

SALE

 

 

50.000

 

 

12,14

EUR

SALE

 

 

130.000

 

 

12,15

EUR

SALE

 

 

53.000

 

 

12,11

EUR

SALE

 

 

10.000

 

 

12,1

EUR

SALE

 

 

40.000

 

 

12,09

EUR

SALE

 

 

30.000

 

 

12,05

EUR

SALE

 

 

30.000

 

 

12,19

EUR

PURCHASE

 

 

60.000

 

 

12,11

EUR

PURCHASE

 

 

39.850

 

 

12,14

EUR

PURCHASE

 

 

50.000

 

 

11,98

EUR

PURCHASE

 

 

50.000

 

 

11,99

EUR

PURCHASE

 

 

35.280

 

 

11,95

EUR

PURCHASE

 

 

5.888

 

 

12,04

EUR

PURCHASE

 

 

30.000

 

 

12,05

EUR

PURCHASE

 

 

94.112

 

 

12,06

EUR

PURCHASE

 

 

116.680

 

 

12,03

EUR

SALE

 

 

14.085

 

 

12,01

EUR

SALE

 

 

250.000

 

 

12,04

EUR

SALE

 

 

182

 

 

12,02

EUR

SALE

 

 

4.025

 

 

12

EUR

SALE

 

 

5.915

 

 

12,02

EUR

SALE

 

 

69.377

 

 

11,92

EUR

PURCHASE

 

 

2.000

 

 

11,99

EUR

PURCHASE

 

 

250.000

 

 

12,04

EUR

PURCHASE

 

 

6.000

 

 

12,13

EUR

PURCHASE

 

 

182

 

 

12,06

EUR

PURCHASE

 

 

1.000

 

 

11,99

EUR

PURCHASE

 

 

7.324

 

 

12,16

EUR

PURCHASE

 

 

10.000

 

 

12,2

EUR

PURCHASE

 

 

69.377

 

 

11,93

EUR

PURCHASE

 

 

1.761

 

 

11,93

EUR

PURCHASE

 

 

2.000

 

 

12,03

EUR

PURCHASE

 

 

45.239

 

 

11,9

EUR

PURCHASE

 

 

2.500

 

 

12,11

EUR

PURCHASE

 

 

12.676

 

 

12,15

EUR

PURCHASE

 

 

1.000

 

 

12,03

EUR

PURCHASE

 

 

4.025

 

 

12

EUR

PURCHASE

 

 

10.500

 

 

12,1

EUR

PURCHASE

 

 

10.000

 

 

12,07

EUR

PURCHASE

 

 

10.000

 

 

12,19

EUR

PURCHASE

 

 

2.500

 

 

12,05

EUR

PURCHASE

 

 

2.000

 

 

12,12

EUR

PURCHASE

 

 

20.000

 

 

12,01

EUR

PURCHASE

 

 

4.000

 

 

11,92

EUR

PURCHASE

 

 

4.500

 

 

12,04

EUR

















(b) Derivatives transactions in respect (other than options)














Product name,

Long/short (Note 6)

 

Number of securities (Note 7)

Price per unit (Note 5)

Currency

e.g. CFD

 


 


 


 

WARRANTS

SHORT

 

 

47.500

 

0,22

 

WARRANTS

SHORT

 

 

100.000

 

0,2

 

WARRANTS

SHORT

 

 

-25.000

 

0,2

 

WARRANTS

SHORT

 

 

25.000

 

0,19

 

WARRANTS

SHORT

 

 

-4.500

 

0,09

 

WARRANTS

LONG

 

 

-75.000

 

0,51

 

WARRANTS

LONG

 

 

75.000

 

0,51

 

WARRANTS

SHORT

 

 

-2.500

 

0,24

 

WARRANTS

SHORT

 

 

2.500

 

0,25

 

WARRANTS

SHORT

 

 

500

 

0,23

 

WARRANTS

SHORT

 

 

2.500

 

0,26

 

WARRANTS

SHORT

 

 

-1.500

 

0,25

 

WARRANTS

LONG

 

 

-2.500

 

0,43

 

FUTUROS

LONG

 

 

10.000

 

12,14

 

FUTUROS

LONG

 

 

10.000

 

12,14

 

FUTUROS

LONG

 

 

8.500

 

12,13

 

FUTUROS

LONG

 

 

10.000

 

12,12

 

FUTUROS

LONG

 

 

9.100

 

12,12

 

FUTUROS

LONG

 

 

200

 

12,08

 

FUTUROS

LONG

 

 

100

 

11,98

 

FUTUROS

LONG

 

 

1.200

 

11,97

 

FUTUROS

LONG

 

 

-130.000

 

12,14

 

FUTUROS

LONG

 

 

10.000

 

12,17

 

FUTUROS

LONG

 

 

10.000

 

12,16

 

FUTUROS

LONG

 

 

10.000

 

12,16

 

FUTUROS

LONG

 

 

10.000

 

12,16

 

FUTUROS

LONG

 

 

10.000

 

12,15

 

FUTUROS

LONG

 

 

10.000

 

12,15

 

FUTUROS

LONG

 

 

10.000

 

12,15

 

FUTUROS

LONG

 

 

500

 

12,15

 

FUTUROS

LONG

 

 

400

 

12,15

 

FUTUROS

LONG

 

 

10.000

 

12,18

 

FUTUROS

SHORT

 

 

-500

 

12,1

 

FUTUROS

SHORT

 

 

-300

 

12,12

 

FUTUROS

SHORT

 

 

-300

 

12,2

 

FUTUROS

SHORT

 

 

-5.000

 

12,18

 

WARRANTS

LONG

 

 

1.000

 

1,12

 









(c) Options transactions in respect of existing securities






















(i) Writing, selling, purchasing or varying















Product name,

Writing, selling,

Number of securities

Exercise 

Type e.g.

Expiry

Option money

Currency

e.g. call option

purchasing,

to which the option

price

American

Date

paid/received

 

 

varying etc.

relates (Note 7)

 

European etc.

 

per unit (Note 5)

 

















(ii) Exercising
























Product name, e.g. call option

 

Number of securities

Exercise price per unit (Note 5)

 

Currency

 

 

 

 

 

 

 

 

















(d) Other dealing (including new securities) (Note 4)














Nature of transaction (Note 8)

 

Details

 

Price per unit (if applicable) Note 5)

 

Currency

Lent shares redelivered to Santander

103.193

SHARES

 

 

 

 

































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 8 attached? (Nota 9)




YES 











Date of disclosure

 

 

 

13/08/2008

Contact name

 

 

 

JOSE MANUEL ARALUCE

Telephone number

 

 

 

+ (34) 912-893-392

Name of offeree/offeror with which associated

 

 

BANCO SANTANDER S.A

 

Specify category and nature of associate status (Note 10)

 

OFFEROR

















Notes
















The Notes on Form 8.1. can be viewed on the Takeover Panel's website at www.thetakeoverpanel.org.uk





  





SUPPLEMENTAL FORM 8







DETAILS OF OPEN POSITIONS 

(This form should be attached to Form 8.1, Form 8.1(b)(ii) or Form 8.3, as appropriate)































OPEN POSITIONS (Note 1)











Product name,

Written 

Number of securities

Exercise price

Type, e.g. 

Expiry date

e.g. call option

or purchased

to which the option

 (Note 2)

American, 

 

 

 

  or derivative relates

 

 

 

CALL

WRITTEN

820.000

20,00

AMERICAN

15/06/2012

PUT

WRITTEN

308.900

11,00

AMERICAN

19/12/2008

PUT

WRITTEN

500.000

12,00

AMERICAN

19/12/2008

PUT

WRITTEN

1.000.000

13,00

AMERICAN

17/12/2010

PUT

WRITTEN

16.000.000

10,00

AMERICAN

19/06/2009

PUT

PURCHASED

4.000.000

10,50

AMERICAN

19/06/2009

PUT

PURCHASED

2.000.000

10,00

AMERICAN

19/12/2008

PUT

PURCHASED

100.000

10,50

AMERICAN

19/09/2008

PUT

PURCHASED

100.000

11,00

AMERICAN

19/09/2008

PUT

PURCHASED

25.000

13,00

AMERICAN

19/09/2008

PUT

PURCHASED

25.000

14,00

AMERICAN

19/09/2008

PUT

PURCHASED

25.000

13,50

AMERICAN

19/09/2008

CALL

WRITTEN

200.000

14,00

AMERICAN

19/09/2008

CALL

WRITTEN

250.000

12,00

AMERICAN

19/12/2008

CALL

WRITTEN

250.000

12,00

AMERICAN

17/12/2008

CALL

WRITTEN

500.000

11,00

AMERICAN

19/12/2008

CALL

WRITTEN

704.500

18,00

AMERICAN

19/12/2008

CALL

WRITTEN

1.000.000

13,00

AMERICAN

17/12/2010

CALL

PURCHASED

54.000

15,00

AMERICAN

19/12/2008

CALL

PURCHASED

11.900

12,50

AMERICAN

19/12/2008

PUT

PURCHASED

8.261.049

10,29

EUROPEAN

24/04/2009

PUT

PURCHASED

8.261.049

10,29

EUROPEAN

24/04/2009

PUT

PURCHASED

394.518

12,04

EUROPEAN

05/04/2011

PUT

PURCHASED

2.000.000

10,32

EUROPEAN

18/05/2009

PUT

PURCHASED

1.127.013

11,18

EUROPEAN

26/05/2011

CALL

WRITTEN

835.000

14,31

EUROPEAN

16/03/2009

CALL

WRITTEN

842.389

11,87

EUROPEAN

26/04/2011

CALL

PURCHASED

842.389

11,87

EUROPEAN

26/04/2011

PUT

PURCHASED

1.000.000

15,00

EUROPEAN

18/12/2009

CALL

WRITTEN

1.000.000

15,00

EUROPEAN

18/12/2009

PUT

PURCHASED

1.000.000

15,00

EUROPEAN

18/12/2009

CALL

WRITTEN

1.000.000

15,00

EUROPEAN

18/12/2009

CALL

WRITTEN

435.047

12,77

EUROPEAN

19/12/2008

PUT

PURCHASED

109.329

13,72

EUROPEAN

10/11/2010

CALL

WRITTEN

300.000

19,46

EUROPEAN

17/10/2011

PUT

PURCHASED

79.365

14,49

EUROPEAN

23/11/2010

CALL

WRITTEN

200.000

18,25

EUROPEAN

01/09/2012

CALL

PURCHASED

110.000

16,05

EUROPEAN

18/01/2010

PUT

WRITTEN

110.000

11,56

EUROPEAN

18/01/2010

PUT

PURCHASED

110.000

10,40

EUROPEAN

18/01/2010

CALL

WRITTEN

100.000

15,95

EUROPEAN

23/01/2012

PUT

PURCHASED

104.322

13,42

EUROPEAN

22/04/2009

CALL

PURCHASED

666.667

14,50

EUROPEAN

19/12/2008

CALL

PURCHASED

1.000.000

15,00

EUROPEAN

19/12/2008

CALL

PURCHASED

100.000

16,00

EUROPEAN

20/03/2009

PUT

WRITTEN

25.000

14,00

AMERICAN

19/12/2008

PUT

WRITTEN

25.000

13,50

AMERICAN

19/12/2008

PUT

WRITTEN

25.000

13,00

AMERICAN

19/12/2008

CALL

PURCHASED

30.000

13,50

AMERICAN

19/09/2008

PUT

PURCHASED

20.000

10,50

AMERICAN

19/12/2008

PUT

PURCHASED

0

14,00

AMERICAN

19/09/2008

PUT

PURCHASED

0

13,50

AMERICAN

19/09/2008

PUT

PURCHASED

0

13,00

AMERICAN

19/09/2008

PUT

PURCHASED

10.000

12,50

AMERICAN

19/12/2008

PUT

PURCHASED

425.000

11,50

AMERICAN

19/12/2008

PUT

PURCHASED

111.400

11,00

AMERICAN

19/12/2008

PUT

PURCHASED

0

11,00

AMERICAN

19/09/2008

PUT

PURCHASED

425.000

10,50

AMERICAN

19/12/2008

PUT

PURCHASED

100.000

10,50

AMERICAN

19/09/2008

CALL

PURCHASED

11.100

16,00

AMERICAN

19/12/2008

CALL

PURCHASED

75.000

15,00

AMERICAN

19/12/2008

CALL

PURCHASED

11.100

15,00

AMERICAN

19/09/2008

CALL

PURCHASED

83.200

15,00

AMERICAN

19/09/2008

CALL

PURCHASED

425.000

13,00

AMERICAN

19/12/2008

CALL

PURCHASED

83.200

12,50

AMERICAN

19/09/2008

CALL

PURCHASED

554.500

18,00

AMERICAN

19/12/2008

CALL

PURCHASED

150.000

18,00

AMERICAN

19/12/2008

CALL

WRITTEN

75.000

11,50

AMERICAN

19/09/2008

CALL

PURCHASED

75.000

12,50

AMERICAN

19/09/2008

CALL

PURCHASED

2.000.000

11,50

AMERICAN

19/09/2008

PUT

WRITTEN

1.000.000

12,00

AMERICAN

18/12/2009

PUT

WRITTEN

500.000

11,00

AMERICAN

18/12/2009

PUT

WRITTEN

500.000

10,50

AMERICAN

19/06/2009

PUT

WRITTEN

15.000

9,75

AMERICAN

18/12/2009

PUT

WRITTEN

15.000

9,50

AMERICAN

18/12/2009

PUT

WRITTEN

15.000

9,25

AMERICAN

18/12/2009

PUT

WRITTEN

15.000

9,00

AMERICAN

18/12/2009

PUT

WRITTEN

15.000

8,75

AMERICAN

18/12/2009

PUT

WRITTEN

25.000

13,00

AMERICAN

19/09/2008

PUT

WRITTEN

2.000.000

11,50

AMERICAN

19/09/2008

PUT

WRITTEN

1.500.000

10,00

AMERICAN

19/12/2008

PUT

WRITTEN

500.000

9,50

AMERICAN

19/12/2008

PUT

PURCHASED

1.500.000

13,50

AMERICAN

18/12/2009

PUT

PURCHASED

3.000

10,50

AMERICAN

18/09/2009

PUT

PURCHASED

90.000

12,50

AMERICAN

19/12/2008

PUT

PURCHASED

1.000.000

12,00

AMERICAN

19/12/2008

PUT

PURCHASED

80.000

11,50

AMERICAN

19/12/2008

PUT

PURCHASED

500.000

11,00

AMERICAN

19/12/2008

PUT

PURCHASED

100.000

17,00

AMERICAN

15/06/2012

PUT

PURCHASED

100.000

11,50

AMERICAN

15/06/2012

CALL

WRITTEN

500.000

13,50

AMERICAN

18/12/2009

CALL

WRITTEN

15.000

10,50

AMERICAN

18/12/2009

CALL

WRITTEN

15.000

10,00

AMERICAN

18/12/2009

CALL

WRITTEN

15.000

9,75

AMERICAN

18/12/2009

CALL

WRITTEN

15.000

9,50

AMERICAN

18/12/2009

CALL

WRITTEN

15.000

9,25

AMERICAN

18/12/2009

CALL

WRITTEN

10.000

14,00

AMERICAN

19/12/2008

CALL

WRITTEN

250.000

13,00

AMERICAN

19/12/2008

CALL

WRITTEN

280.000

13,00

AMERICAN

19/09/2008

CALL

WRITTEN

1.100

15,00

AMERICAN

16/12/2011

CALL

WRITTEN

500

14,50

AMERICAN

17/12/2010

CALL

PURCHASED

30.000

13,50

AMERICAN

20/03/2009

CALL

PURCHASED

10.000

17,50

AMERICAN

19/12/2008

CALL

PURCHASED

500.000

11,00

AMERICAN

19/12/2008

CALL

PURCHASED

100.000

17,00

AMERICAN

15/06/2012

CALL

PURCHASED

100.000

11,50

AMERICAN

15/06/2012

























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 Rule 8 and its Notes which can be viewed on the Takeover Panel's


 website at www.thetakeoverpanel.org.uk







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