FORM 8.3 |
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PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY |
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A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR |
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MORE |
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Rule 8.3 of the Takeover Code (the "Code") |
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1. |
KEY INFORMATION |
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(a) |
Full name of discloser: |
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Barclays PLC. |
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(b) |
Owner or controller of interest and short |
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positions disclosed, if different from 1(a): |
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(c) |
Name of offeror/offeree in relation to whose |
PLAYTECH PLC |
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relevant securities this form relates: |
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(d) |
If an exempt fund manager connected with an |
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offeror/offeree, state this and specify identity of |
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offeror/offeree: |
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(e) |
Date position held/dealing undertaken: |
06 June 2022 |
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(f) |
In addition to the company in 1(c) above, is the discloser making |
NO |
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disclosures in respect of any other party to the offer? |
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2. |
POSITIONS OF THE PERSON MAKING THE DISCLOSURE |
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(a) |
Interests and short positions in the relevant securities of the offeror or offeree |
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to which the disclosure relates following the dealing (if any) |
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Class of relevant security: |
Ordinary NPV |
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Interests |
Short Positions |
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Number |
(%) |
Number |
(%) |
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(1) |
Relevant securities owned |
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and/or controlled: |
1,777,147 |
0.58% |
400,049 |
0.13% |
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(2) |
Cash-settled derivatives: |
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1,519,225 |
0.50% |
1,473,087 |
0.48% |
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(3) |
Stock-settled derivatives (including options) |
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and agreements to purchase/sell: |
0 |
0.00% |
0 |
0.00% |
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TOTAL: |
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3,296,372 |
1.08% |
1,873,136 |
0.61% |
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(b) |
Rights to subscribe for new securities (including directors and other executive |
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options) |
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Class of relevant security in relation to |
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which subscription right exists |
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Details, including nature of the rights |
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concerned and relevant percentages: |
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3. |
DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE |
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(a) |
Purchases and sales |
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Class of relevant |
Purchase/sale |
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Number of |
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Price per unit |
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security |
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securities |
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Ordinary NPV |
Purchase |
120 |
5.5450 GBP |
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Ordinary NPV |
Purchase |
360 |
5.5350 GBP |
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Ordinary NPV |
Purchase |
423 |
5.5600 GBP |
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Ordinary NPV |
Purchase |
518 |
5.5367 GBP |
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Ordinary NPV |
Purchase |
797 |
5.5272 GBP |
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Ordinary NPV |
Purchase |
853 |
5.5271 GBP |
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Ordinary NPV |
Purchase |
954 |
5.5497 GBP |
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Ordinary NPV |
Purchase |
1,135 |
5.5150 GBP |
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Ordinary NPV |
Purchase |
1,310 |
5.5566 GBP |
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Ordinary NPV |
Purchase |
2,419 |
5.4998 GBP |
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Ordinary NPV |
Purchase |
2,996 |
5.5200 GBP |
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Ordinary NPV |
Purchase |
5,304 |
5.5236 GBP |
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Ordinary NPV |
Purchase |
6,383 |
5.5152 GBP |
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Ordinary NPV |
Purchase |
15,161 |
5.5143 GBP |
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Ordinary NPV |
Purchase |
15,739 |
5.5282 GBP |
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Ordinary NPV |
Sale |
19 |
5.5152 GBP |
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Ordinary NPV |
Sale |
26 |
5.5299 GBP |
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Ordinary NPV |
Sale |
69 |
5.5451 GBP |
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Ordinary NPV |
Sale |
122 |
5.5675 GBP |
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Ordinary NPV |
Sale |
161 |
5.5750 GBP |
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Ordinary NPV |
Sale |
228 |
5.5378 GBP |
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Ordinary NPV |
Sale |
443 |
5.5430 GBP |
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Ordinary NPV |
Sale |
807 |
5.5161 GBP |
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Ordinary NPV |
Sale |
1,064 |
5.5129 GBP |
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Ordinary NPV |
Sale |
2,993 |
5.5200 GBP |
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(b) |
Cash-settled derivative transactions |
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Class of |
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Product |
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Nature of dealing |
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Number of |
Price per |
relevant |
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description |
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reference |
unit |
security |
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securities |
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Ordinary NPV |
SWAP |
Long |
26 |
5.5299 GBP |
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Ordinary NPV |
CFD |
Long |
896 |
5.5145 GBP |
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Ordinary NPV |
SWAP |
Long |
975 |
5.5136 GBP |
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Ordinary NPV |
SWAP |
Short |
254 |
5.5242 GBP |
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Ordinary NPV |
SWAP |
Short |
423 |
5.5600 GBP |
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Ordinary NPV |
SWAP |
Short |
451 |
5.5064 GBP |
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Ordinary NPV |
SWAP |
Short |
583 |
5.5550 GBP |
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Ordinary NPV |
SWAP |
Short |
664 |
5.5441 GBP |
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Ordinary NPV |
SWAP |
Short |
727 |
5.5579 GBP |
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Ordinary NPV |
SWAP |
Short |
1,747 |
5.5150 GBP |
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Ordinary NPV |
SWAP |
Short |
1,984 |
5.5184 GBP |
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Ordinary NPV |
SWAP |
Short |
2,419 |
5.4998 GBP |
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Ordinary NPV |
SWAP |
Short |
2,508 |
5.5126 GBP |
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Ordinary NPV |
SWAP |
Short |
3,262 |
5.5218 GBP |
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Ordinary NPV |
CFD |
Short |
5,304 |
5.5236 GBP |
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Ordinary NPV |
SWAP |
Short |
7,622 |
5.5279 GBP |
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Ordinary NPV |
SWAP |
Short |
8,087 |
5.5286 GBP |
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Ordinary NPV |
SWAP |
Short |
13,160 |
5.5140 GBP |
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(c) |
Stock-settled derivative transactions (including options) |
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(i) |
Writing, selling, purchasing or varying |
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Class |
Product |
Writing, |
Number |
Exercise |
Type |
Expiry |
Option |
of |
description |
purchasing, |
of |
price |
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date |
money |
relevant |
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selling, |
securities |
per unit |
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paid/ |
security |
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varying etc |
to which |
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received |
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option |
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per unit |
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relates |
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(ii) |
Exercising |
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Class of relevant |
Product description |
Exercising/ exercised against |
Number of |
Exercise price per |
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security |
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securities |
unit |
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(d) |
Other dealings (including subscribing for new securities) |
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Class of relevant |
Nature of Dealings |
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Details |
Price per unit (if |
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security |
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applicable) |
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4. |
OTHER INFORMATION |
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(a) |
Indemnity and other dealings arrangements |
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Details of any indemnity or option arrangement, or any agreement or understanding, |
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formal or informal, relating to relevant securities which may be an inducement to deal |
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or refrain from dealing entered into by the person making the disclosure and any party |
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to the offer or any person acting in concert with a party to the offer: |
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NONE |
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(b) |
Agreements, arrangements or understandings relating to options or derivatives |
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Details of any agreement, arrangement or understanding, formal or informal, between |
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the person making the disclosure and any other person relating to: |
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(i) the voting rights of any relevant securities under any option; or |
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(ii) the voting rights of future acquisition or disposal of any relevant securities to which |
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any derivative is referenced: |
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NONE |
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(c) |
Attachments |
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Is a Supplemental Form 8 (Open Positions) attached? |
NO |
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Date of disclosure: |
7 Jun 2022 |
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Contact name: |
Large Holdings Regulatory Operations |
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Telephone number: |
020 3134 7213 |
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