DEALING DISCLOSURE - CATLIN GROUP PLC
BARCLAYS PLC
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DEALING DISCLOSURE | |||||||||||||||
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1. | KEY INFORMATION | Â | |||||||||||||
(a) | Name of exempt principal trader: | BARCLAYS CAPITAL SECURITIES LTD | |||||||||||||
(b) | Name of offeror/offeree in relation to whose | CATLIN GROUP PLC | |||||||||||||
 | relevant securities this form relates: |  | |||||||||||||
(c) | Name of the party to the offer with which exempt | CATLIN GROUP PLC | |||||||||||||
 | principal trader is connected |  | |||||||||||||
(d) | Date position held/dealing undertaken: | 7 January 2015 | |||||||||||||
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2. | POSITIONS | ||||||||||||||
(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: | Â | ORD | Â | Â | Â | ||||||||||
Interests | Â | Â | Short Positions | ||||||||||||
 |  | Number | (%) | Number | (%) | ||||||||||
(1) | Relevant securities owned | ||||||||||||||
and/or controlled: | 1,990,841 | 0.55% | 650,317 | 0.18% | |||||||||||
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(2) | Derivatives (other than | ||||||||||||||
options): | 473,600 | 0.13% | 1,642,726 | 0.45% | |||||||||||
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(3) | Options and agreements to | ||||||||||||||
purchase/sell: | 0 | 0.00% | 0 | 0.00% | |||||||||||
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(4) | |||||||||||||||
TOTAL: | 2,464,441 | 0.68% | 2,293,043 | 0.63% | |||||||||||
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(b) | Rights to subscribe for new securities (including directors and other executive | ||||||||||||||
 | options) | ||||||||||||||
Class of relevant security in relation to | |||||||||||||||
which subscription right exists | Â | ||||||||||||||
Details, including nature of the rights | |||||||||||||||
concerned and relevant percentages: | Â | ||||||||||||||
3. | DEALINGS | Â | Â | ||||||||||||
(a) | Purchases and sales | Â | Â | ||||||||||||
Class of relevant | Purchase/sale | Number of | Price per unit | ||||||||||||
security | Â | securities | Â | ||||||||||||
ORD | Purchase | 145 | 6.5850 GBP | ||||||||||||
ORD | Purchase | 173 | 6.5400 GBP | ||||||||||||
ORD | Purchase | 413 | 6.5700 GBP | ||||||||||||
ORD | Purchase | 469 | 6.5350 GBP | ||||||||||||
ORD | Purchase | 558 | 6.5739 GBP | ||||||||||||
ORD | Purchase | 592 | 6.5385 GBP | ||||||||||||
ORD | Purchase | 685 | 6.5000 GBP | ||||||||||||
ORD | Purchase | 1,360 | 6.5270 GBP | ||||||||||||
ORD | Purchase | 2,989 | 6.5376 GBP | ||||||||||||
ORD | Purchase | 3,853 | 6.5652 GBP | ||||||||||||
ORD | Purchase | 3,892 | 6.5340 GBP | ||||||||||||
ORD | Purchase | 8,482 | 6.5328 GBP | ||||||||||||
ORD | Purchase | 11,308 | 6.5456 GBP | ||||||||||||
ORD | Purchase | 18,794 | 6.5219 GBP | ||||||||||||
ORD | Purchase | 100,000 | 6.5154 GBP | ||||||||||||
ORD | Sale | 100,000 | 6.5350 GBP | ||||||||||||
ORD | Sale | 130 | 6.5450 GBP | ||||||||||||
ORD | Sale | 145 | 6.5850 GBP | ||||||||||||
ORD | Sale | 173 | 6.5400 GBP | ||||||||||||
ORD | Sale | 413 | 6.5700 GBP | ||||||||||||
ORD | Sale | 469 | 6.5350 GBP | ||||||||||||
ORD |
Sale |
606 | 6.5632 GBP | ||||||||||||
ORD | Sale | 642 | 6.5370 GBP | ||||||||||||
ORD | Sale | 957 | 6.5430 GBP | ||||||||||||
ORD | Sale | 1,446 | 6.5000 GBP | ||||||||||||
ORD | Sale | 1,592 | 6.5642 GBP | ||||||||||||
ORD | Sale | 3,579 | 6.5014 GBP | ||||||||||||
ORD | Sale | 3,640 | 6.5455 GBP | ||||||||||||
ORD | Sale | 8,455 | 6.5467 GBP | ||||||||||||
ORD | Sale | 9,058 | 6.5006 GBP | ||||||||||||
ORD | Sale | 14,649 | 6.5009 GBP | ||||||||||||
ORD | Sale | 71,953 | 6.5210 GBP | ||||||||||||
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(b) | Derivatives transactions (other than options) | Â | Â | Â | |||||||||||
Class of | Product | Nature of dealing | Number of | Price per | |||||||||||
relevant | description | reference | unit | ||||||||||||
security | Â | Â | securities | Â | |||||||||||
ORD | CFD | Long | 12,095 | 6.5454 GBP | |||||||||||
ORD | SWAP | Short | 3,895 | 6.5661 GBP | |||||||||||
ORD | CFD | Short | 19,630 | 6.5391 GBP | |||||||||||
ORD | CFD | Short | 20,314 | 6.5243 GBP | |||||||||||
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(c) | Options transactions in respect of existing securities | ||||||||||||||
(i) | Writing, selling, purchasing or varying | Â | Â | Â | Â | Â | Â | ||||||||
Class | Product | Writing, | Number | Exercise | Type | Expiry | Option | ||||||||
of | description | purchasing, | of | price | date | money | |||||||||
relevant | selling, | securities | per unit | paid/ | |||||||||||
security | varying etc | to which | received | ||||||||||||
option | per unit | ||||||||||||||
 |  |  | relates |  |  |  |  | ||||||||
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(ii) | Exercising | Â | Â | ||||||||||||
Class of relevant | Product description | Number of securities | Exercise price per | ||||||||||||
security | Â | unit | |||||||||||||
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(d) | Other dealings (including subscribing for new securities) | Â | |||||||||||||
Class of relevant | Nature of Dealings | Details | Price per unit (if | ||||||||||||
security | Â | Â | applicable) | ||||||||||||
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Is a Supplemental Form 8 (Open Positions) attached? | NO | ||||||||||||||
Date of disclosure: | 8 Jan 2015 | ||||||||||||||
Contact name: | Jay Supaya | ||||||||||||||
Telephone number: | 0207 773 0635 |