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Friday 07 April, 2006

Takeover Panel

Disclosure Table

Takeover Panel
07 April 2006

.
THE TAKEOVER PANEL - DISCLOSURE TABLE





7 April 2006 FINAL




The following are today's changes to the Disclosure Table:




ADDITIONS




OFFEREE: CMS WebView Plc
Rule 2.10 information to follow
OFFEROR: No named offeror





DELETIONS




None




OTHER AMENDMENTS




OFFEREE: Babcock International Plc
60p ordinary                      ISIN: GB0009697037               NSI: 209,166,478
OFFEROR: VT Group Plc and BAE Systems Plc
VT Group: 5p ordinary             ISIN: GB0031729733               NSI: 174,317,833
BAE: 2.5p  ordinary               ISIN: GB0002634946               NSI: 3,220,289,171
BAE: 7.75p net cumulative         ISIN: GB0001271690               NSI: 266,079,032
convertible 25p redeemable
preference




OFFEREE: London Stock Exchange Plc
5 5/6p ordinary                  ISIN: GB00B0167W72                NSI: 256,230,499
OFFEROR: Euronext NV
€1 ordinary                      ISIN: NL0000241511                NSI: 111,331,039




If you have any enquiries on the contents of this list please call Lee Mann or Craig Andrews on

020 7638 0129.




See Notes at the end of this list.




DISCLOSURE TABLE




OFFEREE: Alliance UniChem Plc
10p ordinary                     ISIN: GB0009165720                NSI: 361,705,316
OFFEROR: Boots Group Plc
37 7/39 ordinary                 ISIN: GB00B0P7Y252                NSI: 485,717,232




OFFEREE: Ashford International Hotel Plc
10p ordinary                      ISIN: GB0031085367                NSI: 19,000,006
7.3% Convertible Preference of 1p                                   GBP: 2,500,000
each
OFFEROR: No named offeror





OFFEREE: Associated British Ports Holdings Plc
25p ordinary                     ISIN: GB0000564343                NSI: 301,700,852
OFFEROR: Borealis Infrastructure Management Inc., an investment vehicle directed by GIC Special
Investments Pte Ltd. and Goldman Sachs International
Rule 2.10 information not available




OFFEREE: Aston Villa Plc
5p ordinary                      ISIN: GB0000632850                NSI: 11,449,245
OFFEROR: Aston Villa Investments Ltd
Rule 2.10 information not available




OFFEREE: BAA Plc
100p ordinary                    ISIN: GB0000673409                NSI: 1,080,530,877
Convertible Bonds                ISIN: XS0145301692                GBP: 424,000,000
Convertible Bonds                ISIN: XS0174150937                GBP: 425,000,000
OFFEROR: Airport Development and Investment Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Babcock International Plc
60p ordinary                      ISIN: GB0009697037               NSI: 209166,478
OFFEROR: VT Group Plc and BAE Systems Plc
VT Group: 5p ordinary             ISIN: GB0031729733               NSI: 174,317,833
BAE: 2.5p  ordinary               ISIN: GB0002634946               NSI: 3,220,289,171
BAE: 7.75p net cumulative         ISIN: GB0001271690               NSI: 266,079,032
convertible 25p redeemable
preference




OFFEREE: Bizspace  Plc
5p ordinary                      ISIN:  GB0007740607               NSI: 82,963,350
OFFEROR: No named offeror





OFFEREE: BOC Group Plc (The)
25p ordinary                     ISIN: GB0001081206                NSI: 513,135,869
ADS                              CUSIP: 055617609
OFFEROR: Linde AG
Disclosure of dealings in this offeror is not required




OFFEREE: Body Shop International Plc
5p ordinary                      ISIN: GB0001083137                NSI: 217,470,466
OFFEROR: L'Oreal
Disclosure of dealings in this offeror is not required




OFFEREE: Brandon Hire Plc
10p ordinary                     ISIN: GB0001200723                NSI: 33,919,486
OFFEROR: Management team led by Charles Skinner and Chris Sims
Disclosure of dealings in this offeror is not required
OFFEROR: Wolseley Bristol Limited (a wholly -owned subsidiary of Wolseley Plc)
Disclosure of dealings in this offeror is not required




OFFEREE: Center Parcs (UK) Group Plc
1p ordinary                      ISIN: GB0033930313                NSI: 255,208,332
OFFEROR: Forest Bidco Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Character Group Plc (The)
5p ordinary                      ISIN: GB0008976119                NSI: 52,830,909
OFFEROR: No named offeror





OFFEREE: Chorion Plc
30p ordinary                     ISIN: GB0033554287                NSI: 25,488,234
OFFEROR: Planet Acquisitions Limited
Disclosure of dealings in this offeror is not required
OFFEROR: Entertainment Rights Plc
5p ordinary                      ISIN: GB0008138884                NSI: 413,885,704




OFFEREE: CMS WebView Plc
Rule 2.10 information to follow
OFFEROR: No named offeror





OFFEREE: DCS Group Plc
25p ordinary                     ISIN: GB0006293756                NSI: 30,914,028
OFFEROR: No named offeror





OFFEREE: Deal Group Media Plc
1p ordinary                      ISIN: GB0002180858                NSI: 380,048,385
OFFEROR: No named offeror





OFFEREE: De Vere Group Plc
31 1/9p ordinary                  ISIN: GB00B0671K18                NSI: 83,903,027
OFFEROR: No named offeror





OFFEREE: Dunn-Line Plc
0.1p ordinary                    ISIN: GB00B047X966                NSI: 222,468,902
0.1p ordinary                    ISIN: GB00B10S6Q87                NSI: 20,800,416
OFFEROR: Veolia Transport UK Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Empire Interactive Plc
0.1p ordinary                    ISIN: GB0008274036                NSI: 67,861,002
OFFEROR:  No named offeror





OFFEREE: Fulmar Plc
5p ordinary                      ISIN: GB0003554101                NSI: 26,954,047
OFFEROR: Cameron CPI UK Limited (a wholly owned subsidiary of Cameron France Holdings SAS)
Disclosure of dealings in this offeror is not required




OFFEREE: Greenvale Holdings Plc
Rule 2.10 information not available
OFFEROR: Produce Investments Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Healthstar Group Plc
Ordinary shares                  ISIN: GB00B0394569                NSI: 4,500,000
OFFEROR: Ultrasis Plc
Ordinary shares                  ISIN: GB0001494979                NSI: 1,331,813,667




OFFEREE: Hemscott Plc
5p ordinary                      ISIN: GB0030276868                NSI: 57,881,235
OFFEROR:  No named offeror





OFFEREE: Honeycombe Leisure Plc
1p ordinary                      ISIN: GB0001579738                NSI: 31,394,369
OFFEROR:  No named offeror





OFFEREE: James R Knowles (Holdings) Plc
5p ordinary                      ISIN: GB0002783792                NSI: 21,171,853
OFFEROR: Systech Group Limited
Rule 2.10 information not available




OFFEREE: Kentstone Properties Plc
50p ordinary                                                       NSI: 5,312,507
OFFEROR: Stenton Management Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Liverpool Football Club & Athletic Grounds Plc
£5 ordinary                                                        NSI: 34,823
OFFEROR: No named offeror





OFFEREE: London Stock Exchange Plc
5 5/6p ordinary                  ISIN: GB00B0167W72                NSI: 256,230,499
OFFEROR: Euronext NV
€1 ordinary                      ISIN: NL0000241511                NSI: 111,331,039




OFFEREE: Lookers Plc
25p ordinary                     ISIN: GB0005344469                NSI: 35,876,279
OFFEROR: Pendragon plc
25p ordinary                     ISIN: GB0006795297                NSI: 131,201,720




OFFEREE: Luxury Family Hotels Five Plc
50p ordinary                                                       NSI: 2,001,002
50p founder                                                        NSI: 500,000
OFFEROR: Von Essen Hotels Limited
Rule 2.10 information not available




OFFEREE: MacLellan Group Plc
5p ordinary                       ISIN: GB0004783519                NSI: 99,803,624
10p convertible preference                                          NSI: 5,000,000
OFFEROR: No named offeror





OFFEREE: Maiden Group Plc
5p ordinary                      ISIN: GB0005575393                NSI: 52,853,552
OFFEROR: Titan Outdoor Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Mayborn Group PLc
5p ordinary                      ISIN: GB0005741748                NSI: 22,334,651
OFFEROR: No named offeror





OFFEREE: Millfield Group Plc
0.175p ordinary                  ISIN:  GB0030199953               NSI: 118,748,841
OFFEROR: No named offeror





OFFEREE: Mitchells & Butler Plc
7 1/12p ordinary                 ISIN: GB0033839910                NSI: 490,258,134
OFFEROR: R20 (Investment vehicle of Robert Tchenguiz)
Rule 2.10 information not available




OFFEREE: MSB International Plc
5p ordinary                      ISIN: GB0005588669                NSI: 20,501,979
OFFEROR: No named offeror





OFFEREE: Next Generation Clubs (Holdings) Ltd
5p A ordinary                                                      NSI: 52,418,924
5p B ordinary                                                      NSI: 2,570,376
5p convertible                                                     NSI: 590,208
OFFEROR: Esporta Group  Limited
Rule 2.10 information not available




OFFEREE: Parkdean Holidays Plc
20p ordinary                     ISIN: GB0031530750                NSI: 50,008,382
OFFEROR: P D Parks Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Pilkington Plc
50p ordinary                     ISIN: GB0006884620                NSI: 1,320,391,000
OFFEROR: Nippon Sheet Glass Company Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Pixology Plc
1p ordinary                      ISIN: GB0033779165                NSI: 20,273,840
OFFEROR: No named offeror





OFFEREE: QA Plc
1p ordinary                      ISIN: GB0006657885                NSI: 286,439,109
OFFEROR: No named offeror





OFFEREE: Richmond Foods Plc
5p ordinary                      ISIN: GB0009043844                NSI: 23,522,376
OFFEROR: No named offeror





OFFEREE: Scott Tod Plc
1p ordinary                      ISIN: GB0032280363                NSI: 33,755,151
OFFEROR: No named offeror





OFFEREE: Second Alliance Trust Plc
25p ordinary                     ISIN: GB0007874000                NSI: 19,200,000
OFFEROR: Alliance Trust Plc
25p ordinary                     ISIN: GB0000183045                NSI: 50,400,000




OFFEREE: Springboard Plc
10p ordinary                     ISIN: GB0003520680                NSI: 8,233,954
OFFEROR:  Nova Capital Group Limited
Disclosure of dealings in this offeror is not required




OFFEREE: Sunderland Limited
1p ordinary                                                        NSI: 8,557,500
OFFEROR: No named offeror





OFFEREE: Superscape Group Plc
10p ordinary                     ISIN: GB0008636127                NSI: 179,982,506
OFFEROR: No named offeror





OFFEREE: Syscap Group Plc
10p ordinary                                                       NSI: 935,173
OFFEROR: No named offeror





OFFEREE: Systems Union Group Plc
5p ordinary                      ISIN: GB0009348755                NSI: 109,899,919
OFFEROR: No named offeror





OFFEREE: Telspec Plc
25p ordinary                     ISIN: GB0008821455                NSI: 40,500,615
OFFEROR: No named offeror





OFFEREE: Tenon Group Plc
10p ordinary                                                       NSI: 160,317,516
OFFEROR: Management team
Rule 2.10 information not available




OFFEREE: Top Ten Holdings Plc
20p ordinary                     ISIN: GB00B0V90L66                NSI: 25,324,469
OFFEROR: No named offeror





OFFEREE: TRL Electronics Plc
1p ordinary                      ISIN: GB00B01NP247                NSI: 24,916,686
OFFEROR: No named offeror





OFFEREE: Urban Dining Plc
10p ordinary                     ISIN: GB00B012XP08                NSI: 57,566,666
OFFEROR:  Clapham House Group Plc (The)
Disclosure of dealings in this offeror is not required




OFFEREE: Virgin Mobile Holdings (UK) Plc
10p ordinary                      ISIN: GB00B01S4S86                NSI: 258,703,010
OFFEROR: NTL Incorporated
$0.01 common stock                CUSIP: 62941W101                  NSI: 286,568,751
Series A warrants                 CUSIP: 62941W119                  NSI: 8,745,799




OFFEREE: Watermark Group Plc
1p ordinary                      ISIN:  GB0009422097               NSI: 43,121,272
OFFEROR: No named offeror





OFFEREE: WILink Plc
80p ordinary                     ISIN: GB00B00HL414                NSI: 8,475,999
OFFEROR: No named offeror





OFFEREE: Wyevale Garden Centres Plc
25p ordinary                     ISIN: GB0009845685                NSI: 56,022,091
OFFEROR: West Coast Capital
Rule 2.10 information not available




OFFEREE: Wyndeham Press Group Plc
20p ordinary                     ISIN: GB0009785055                NSI: 52,010,648
OFFEROR: Daybreak Acquisitions Limited (a wholly owned subsidiary of Dagsbrun hf.)
Disclosure of dealings in this offeror is not required




Notes:


1.   Where an offeror is marked with 'Disclosure of dealings in this offeror is not required', dealings in
     relevant securities of that offeror are not required to be disclosed under Rule 8.1, Rule 8.2, Rule 8.3
     or Rule 38.5 of the Takeover Code since it has been announced that the offer or possible offer is, or
     is likely to be, solely in cash.


2.   Dealings required to be disclosed under Rule 8.1, Rule 8.2, Rule 8.3 or Rule 38.5 of the Takeover Code
     include dealings in derivatives referenced to and options in respect of relevant securities of an
     offeree company and, where appropriate, an offeror.


3.   The information set out in the Disclosure Table relating to the relevant securities in issue of an
     offeree company or of an offeror (and any amendments thereto) has been extracted from the relevant
     announcement made by such company under Rule 2.10 of the Takeover Code.


4.   Additions and deletions of offeree companies and offerors are reflected in the Disclosure Table
     throughout the day, following the relevant announcement.  Other amendments may also be made throughout
     the day.  In any event, details of the classes of relevant securities issued by an offeree or offeror
     company, the number of such securities in issue ('NSI') and the International Securities Identification
     Number ('ISIN') of such securities announced under Rule 2.10 of the Takeover Code before 5.00 p.m. each
     day will be included in the final version of the Disclosure Table by 5.30 p.m. that day. The final
     version of the Disclosure Table issued each day will be marked 'Final' and persons required to make
     dealing Disclosures are advised to use that final version.


5.   Dealings in relevant securities of an offeree company and, where appropriate, an offeror (see Note 1
     above) which are required to be disclosed under Rule 8.1, Rule 8.3 or Rule 38.5 of the Takeover Code
     must be sent to a Regulatory Information Service.  A copy of the disclosure should also be sent to the
     Panel's Market Surveillance Unit by fax (no. 020 7236 7013) or by email (address:
     [email protected]).


6.   Regulatory Information Services:


     Business Wire Regulatory Disclosure                               020 7626 1982
     Hugin Announce                                                    0870 730 0046
     News Release Express                                              020 7562 6550
     PR Newswire Disclosure                                            020 7490 8111
     RNS                                                               020 7797 4400
     Romeike                                                           0870 736 0010






















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