Holding(s) in Company
British Airways PLC
27 May 2002
Letter to RNS
British Airways Plc has received today the attached disclosure of share
interests pursuant to S198 of the Companies Act, being share interests under the
management of HBOS plc on behalf of its clients.
Letter from British Airways Plc
Letter to British Airways Plc
24th May 2002
On behalf of HBOS Plc
Pursuant to Section 198 of the Companies Act 1985, Section 198, as amended, on
behalf of HBOS plc, we give notice that HBOS plc and its subsidiaries have a
material and non-material interest in the shares of your company as follows:-
Sedol No of Shares Security class Fund - Registered Holder
0129057 1,403,558.00 Ordinary 25p 100 Chase Nominees Ltd a/c 100
0129057 656,837.00 Ordinary 25p 115 Chase Nominees Ltd a/c 115
0129057 33,307.00 Ordinary 25p 125 Chase Nominees Ltd a/c 125
0129057 42,115.00 Ordinary 25p 126 Chase Nominees Ltd a/c 126
0129057 146,132.00 Ordinary 25p 129 Chase Nominees Ltd a/c 129
0129057 594,249.00 Ordinary 25p 144 Chase Nominees Ltd a/c 144
0129057 1,127,738.00 Ordinary 25p 160 Chase Nominees Ltd a/c 160
0129057 56,636.00 Ordinary 25p 168 Chase Nominees Ltd a/c 168
0129057 236,759.00 Ordinary 25p 169 Chase Nominees Ltd a/c 169
0129057 35,790.00 Ordinary 25p 170 Chase Nominees Ltd a/c 170
0129057 59,512.00 Ordinary 25p 173 Chase Nominees Ltd a/c 173
0129057 59,338.00 Ordinary 25p 175 Chase Nominees Ltd a/c 175
0129057 243,741.00 Ordinary 25p 176 Chase Nominees Ltd a/c 176
0129057 116,910.00 Ordinary 25p 179 Chase Nominees Ltd a/c 179
0129057 82,053.00 Ordinary 25p 180 Chase Nominees Ltd a/c 180
0129057 348,190.00 Ordinary 25p 183 Chase Nominees Ltd a/c 183
0129057 4,953.00 Ordinary 25p 187 Chase Nominees Ltd a/c 187
0129057 49,057,00 Ordinary 25p 188 Chase Nominees Ltd a/c 188
0129057 13,304.00 Ordinary 25p 190 Chase Nominees Ltd a/c 190
0129057 53,275.00 Ordinary 25p 193 Chase Nominees Ltd a/c 193
0129057 315,387.00 Ordinary 25p 195 Chase Nominees Ltd a/c 195
0129057 2,555.00 Ordinary 25p 197 Chase Nominees Ltd a/c 197
0129057 32,902.00 Ordinary 25p 198 Chase Nominees Ltd a/c 198
0129057 639,015,00 Ordinary 25p 200 Chase Nominees Ltd a/c 200
0129057 418,227.00 Ordinary 25p 201 Chase Nominees Ltd a/c 201
0129057 71,945.00 Ordinary 25p 209 Chase Nominees Ltd a/c 209
0129057 435,150.00 Ordinary 25p 210 Chase Nominees Ltd a/c 210
0129057 794,481.00 Ordinary 25p 211 Chase Nominees Ltd a/c 211
0129057 1,595,998.00 Ordinary 25p 212 Chase Nominees Ltd a/c 212
0129057 8,099.00 Ordinary 25p 213 Chase Nominees Ltd a/c 213
0129058 184,214.00 Ordinary 25p 214 Chase Nominees Ltd a/c 214
0129059 1,149,791.00 Ordinary 25p 1105 Chase Nominees Ltd a/c 1105
012906O 2,741,115.00 Ordinary 25p 2304 Chase Nominees Ltd A/C CMIG 2304
0129061 2,374,893.00 Ordinary 25p 2314 Chase Nominees Ltd A/C CMIG 2314
0129062 2,142,116.00 Ordinary 25p E Equitable Life Assurance Society
0129063 1,478,260.00 Ordinary 25p EPASS Equitable Life Assurance Society
0129064 1,075,000.00 Ordinary 25p EQINC Equitable Life Assurance Society
0129065 400,000.00 Ordinary 25p EQINT Equitable Life Assurance Society
0129066 205,513.00 Ordinary 25p EQITR Equitable Life Assurance Society
0129067 2,395,161.00 Ordinary 25p EQPEL Equitable Life Assurance Society
0129068 230,000.00 Ordinary 25p EQSTR Equitable Life Assurance Society
0129069 3,500.00 Ordinary 25p FE1D State Street Nominees
0129070 1,600.00 Ordinary 25p FE1E State Street Nominees
0129071 24,718.00 Ordinary 25p FE1F State Street Nominees
0129072 29,180.00 Ordinary 25p FE3D State Street Nominees
0129073 228,250.00 Ordinary 25p GROW00 CMI Int'l Growth Fund
0129074 464,366.00 Ordinary 25p HLBA Morgan Nominees
0129075 33,273.00 Ordinary 25p HLFO Morgan Nominees
0129076 24,192.00 Ordinary 25p HPBA Morgan Nominees
0129077 19,111.00 Ordinary 25p HPFO Morgan Nominees
0129078 402,861.00 Ordinary 25p HTUT Morgan Nominees
0129079 591,143.00 Ordinary 25p HUAC Morgan Nominees
0129080 456,400.00 Ordinary 25p HXBT Morgan Nominees
0129081 574,459.00 Ordinary 25p HXLFE Morgan Nominees
0129082 26,536.00 Ordinary 25p HXPEN Morgan Nominees
0129083 189,000.00 Ordinary 25p JRA GAM EXEMPT MANAGED HSBC Global Nominees (UK) Ltd
0129084 365,000.00 Ordinary 25p JRA GAM NET MANAGED HSBC Global Nominees (UK) Ltd
0129085 2,050,420.00 Ordinary 25p JRA SGAM EXEMPT MANAGED HSBC Global Nominees (UK) Ltd
0129086 3,234,010.00 Ordinary 25p JRA SGAM NET MANAGED FUND HSBC Global Nominees (UK) Ltd
0129087 614,000.00 Ordinary 25p JRIA GAM MANAGED FUND HSBC Global Nominees (UK) Ltd
0129088 90,000.00 Ordinary 25p JRIA GAM US MANAGED FUND HSBC Global Nominees (UK) Ltd
0129089 848,000.00 Ordinary 25p JRIA SGAM MANAGED FUND HSBC Global Nominees (UK) Ltd
0129090 175,000,00 Ordinary 25p MDIST Chase Nominees Ltd A/C T19793
0129091 770.00 Ordinary 25p PA0215 Pershing Keen Nominees
0129092 5,301.00 Ordinary 25p PA0267 Pershing Keen Nominees
0129093 700.00 Ordinary 25p PP0901 Pershing Keen Nominees
0129094 483.00 Ordinary 25p PP2024 Pershing Keen Nominees
0129095 3,000.00 Ordinary 25p PP2065 Pershing Keen Nominees
0129096 926.00 Ordinary 25p PP2326 Pershing Keen Nominees
0129097 1,000.00 Ordinary 25p PP2373 Pershing Keen Nominees
0129098 1,697.00 Ordinary 25p PP2675 Pershing Keen Nominees
0129099 59,000.00 Ordinary 25p RISE00 CMI Int'l Fund
0129100 200,000.00 Ordinary 25p SJP EQUITY INCOME UT Bank of New York Nominees Ltd
0129101 248,000 Ordinary 25p SJP RECOVERY UNIT TRUST Bank of New York Nominees Ltd
0129102 15,367 Ordinary 25p SJP TRACKER UNIT TRUST Bank of New York Nominees Ltd
0129103 31,000 Ordinary 25p TRACK Chase Nominees Ltd A/C T22618
0129104 204,770 Ordinary 25p UKEQ00 CMI UK Equity Fund
0129105 456,658 Ordinary 25p UKGTH Chase Nominees Ltd A/C T19796
0129106 20,351 Ordinary 25p UKOVE Chase Nominees Ltd A/C T19789
0129107 37,960 Ordinary 25p UKTRAO CMI UK Tracker Fund
0129108 30,121,835 Ordinary 25p WPUKEQ Chase Nominees Ltd A/C CMIG MAIN
HBOS plc's material and non-material interest is now 65,907,113 which is 6.09%
of the shares in issue.
From: Clerical Medical Investment Management
Part of the HBOS Group
Letter to RNS
Dated 27 May
British Airways Plc has received today the disclosure of share
interests (schedule shown below) pursuant to S198 of the Companies Act, being
share interests under the management of JP Morgan Securities on behalf of its
clients.
From British Airways
Schedule
Letter To: British Airways
BRITISH AIRWAYS
S198 COMPANIES ACT 1985 INTEREST IN SHARES
J.P. Morgan Securities Ltd, on behalf of J.P. Morgan Investment Management Inc
hereby notifies you that it has a notifiable interest in the share capital of
your company.
From: JP MORGAN
Schedule
J.P. Morgan Investment Management Inc
BRITISH AIRWAYS ADR (10P ORD)
Registered Holder
J.P. Morgan Investment Management Inc 9,200
BRITISH AIRWAYS ORD 10P
Registered Holder
J.P. Morgan Investment Management Inc 48,914,506
TOTAL INTEREST 4.51% 48,923,706
This information is provided by RNS
The company news service from the London Stock Exchange