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AXO Axon Grp.

647.50
0.00 (0.00%)
Last Updated: 01:00:00
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Axon Grp. LSE:AXO London Ordinary Share GB0005669220 ORD 1P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 647.50 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

EPT Disclosure

04/12/2008 10:45am

UK Regulatory


    RNS Number : 5448J
  Merrill Lynch International
  04 December 2008
   

   FORM 38.5(a)

   

   DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 

   WITH RECOGNISED INTERMEDIARY STATUS

   DEALING IN A CLIENT-SERVING CAPACITY

   (Rule 38.5(a) of the Takeover Code)

   1. KEY INFORMATION

   Name of exempt principal trader  Merrill Lynch International

   Company dealt in  British Airways Plc

   Class of relevant security to which the   Common

   dealings being disclosed relate

   Date of dealing  03/12/2008

   2. DEALINGS

   (a) Purchases and sales

   Total number of securities   Highest price paid    Lowest price paid

   purchased

   1,450,341  GBP 1.58  GBP 1.53

    Total number of securities   Highest price received    Lowest price received
               sold                                      

   2,135,576  GBP 1.58  GBP 1.50

   (b) Derivatives transactions (other than options)

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Long Swap  LONG  6,186  GBP 1.53

   Long Swap  LONG  24,218  GBP 1.56

   Long Swap  LONG  63,623  GBP 1.53

   Long Swap  LONG  81,099  GBP 1.54

   Long Swap  LONG  112,846  GBP 1.54

   Long Swap  LONG  139,542  GBP 1.55

   Long Swap  LONG  161,598  GBP 1.56

   Long Swap  LONG  177,940  GBP 1.54

   Long Swap  LONG  267,429  GBP 1.56

   Long Swap  LONG  294,851  GBP 1.55

   Long Swap  LONG  1,469  GBP 1.54

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Short Swap  SHORT  183,907  GBP 1.56

   Short Swap  SHORT  350,000  GBP 1.56

   Short Swap  SHORT  267,429  GBP 1.55

   Short Swap  SHORT  4,228  GBP 1.55

   Short Swap  SHORT  177,940  GBP 1.54

   Short Swap  SHORT  144,349  GBP 1.55

   Short Swap  SHORT  118,622  GBP 1.56

   Short Swap  SHORT  112,846  GBP 1.55

   Short Swap  SHORT  81,099  GBP 1.54

   Short Swap  SHORT  72,074  GBP 1.53

   Short Swap  SHORT  63,623  GBP 1.54

   Short Swap  SHORT  54,598  GBP 1.54

   Short Swap  SHORT  46,776  GBP 1.55

   Short Swap  SHORT  24,493  GBP 1.55

   Short Swap  SHORT  10,296  GBP 1.53

   Short Swap  SHORT  8,905  GBP 1.55

   Short Swap  SHORT  294,851  GBP 1.54

   (c)     Options transactions in respect of existing securities

   Product name  Writing,   Number of   Exercise   Type, e.g.   Expiry   Option 

     selling,   securities under   price   American,   date  money

   eg call option  purchasing,   option  European etc  paid/received

   varying etc.    per unit 

                     

   (ii) Exercising

   Product name  Number of securities under   Exercise price 

   eg call option  option

         

   3. 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. 

   NONE

   Date of disclosure  04/12/2008

   Contact name  Bhavika Mistry

   Telephone number  +44 207 995 4747

   Name of offeree/offeror with whom connected  British Airways Plc

   Nature of connection    Advisor
   ž

   FORM 38.5(a)

   

   DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 

   WITH RECOGNISED INTERMEDIARY STATUS

   DEALING IN A CLIENT-SERVING CAPACITY

   (Rule 38.5(a) of the Takeover Code)

   1. KEY INFORMATION

   Name of exempt principal trader  Merrill Lynch International

   Company dealt in  Axon Group Plc

   Class of relevant security to which the   Common

   dealings being disclosed relate

   Date of dealing  03/12/2008

   2. DEALINGS

   (a) Purchases and sales

   Total number of securities   Highest price paid    Lowest price paid

   purchased

   7,523  GBP 6.45  GBP 6.45

    Total number of securities   Highest price received    Lowest price received
               sold                                      

   4,144  GBP 6.44  GBP 6.44

   (b) Derivatives transactions (other than options)

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Long Swap  LONG  6,525  GBP 6.45

   Long Swap  LONG  998  GBP 6.44

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Short Swap  SHORT  408  GBP 6.44

   Short Swap  SHORT  692  GBP 6.44

   Short Swap  SHORT  3,044  GBP 6.44

   (c)     Options transactions in respect of existing securities

   Product name  Writing,   Number of   Exercise   Type, e.g.   Expiry   Option 

     selling,   securities under   price   American,   date  money

   eg call option  purchasing,   option  European etc  paid/received

   varying etc.    per unit 

                     

   (ii) Exercising

   Product name  Number of securities under   Exercise price 

   eg call option  option

         

   3. 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. 

   NONE

   Date of disclosure  04/12/2008

   Contact name  Bhavika Mistry

   Telephone number  +44 207 995 4747

   Name of offeree/offeror with whom connected  HCL EAS Limited

   Nature of connection    Advisor
   ž

   FORM 38.5(a)

   

   DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 

   WITH RECOGNISED INTERMEDIARY STATUS

   DEALING IN A CLIENT-SERVING CAPACITY

   (Rule 38.5(a) of the Takeover Code)

   1. KEY INFORMATION

   Name of exempt principal trader  Merrill Lynch International

   Company dealt in  Lloyds TSB Group Plc

   Class of relevant security to which the   Common

   dealings being disclosed relate

   Date of dealing  03/12/2008

   2. DEALINGS

   (a) Purchases and sales

   Total number of securities   Highest price paid    Lowest price paid

   purchased

   2,883,831  GBP 159.67  GBP 1.57

    Total number of securities   Highest price received    Lowest price received
               sold                                      

   2,245,847  GBP 1.68  GBP 1.56

   (b) Derivatives transactions (other than options)

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Long Swap  LONG  705,234  GBP 1.60

   Long Swap  LONG  177,507  GBP 1.60

   Long Swap  LONG  98,746  GBP 1.59

   Long Swap  LONG  15,000  GBP 1.61

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Short Swap  SHORT  3,157  GBP 1.60

   Short Swap  SHORT  15,000  GBP 1.64

   Short Swap  SHORT  55,222  GBP 1.61

   Short Swap  SHORT  95,066  GBP 1.60

   Short Swap  SHORT  174,350  GBP 1.60

   Short Swap  SHORT  627,401  GBP 1.61

   (c)     Options transactions in respect of existing securities

   Product name  Writing,   Number of   Exercise   Type, e.g.   Expiry   Option 

     selling,   securities under   price   American,   date  money

   eg call option  purchasing,   option  European etc  paid/received

   varying etc.    per unit 

                     

   (ii) Exercising

   Product name  Number of securities under   Exercise price 

   eg call option  option

         

   3. 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. 

   NONE

   Date of disclosure  04/12/2008

   Contact name  Bhavika Mistry

   Telephone number  +44 207 995 4747

   Name of offeree/offeror with whom connected  Lloyds TSB Group Plc

   Nature of connection    Advisor
   ž

   FORM 38.5(a)

   

   DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS 

   WITH RECOGNISED INTERMEDIARY STATUS

   DEALING IN A CLIENT-SERVING CAPACITY

   (Rule 38.5(a) of the Takeover Code)

   1. KEY INFORMATION

   Name of exempt principal trader  Merrill Lynch International

   Company dealt in  HBOS Plc

   Class of relevant security to which the   Common

   dealings being disclosed relate

   Date of dealing  03/12/2008

   2. DEALINGS

   (a) Purchases and sales

   Total number of securities   Highest price paid    Lowest price paid

   purchased

   828,267  GBP 0.90  GBP 0.87

    Total number of securities   Highest price received    Lowest price received
               sold                                      

   785,481  GBP 0.90  GBP 0.87

   (b) Derivatives transactions (other than options)

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Long Swap  LONG  10,000  GBP 0.88

   Long Swap  LONG  4,836  GBP 0.88

   Product name,     Short/Long    Number of securities  Price per unit 

   eg. CFD    

   Short Swap  SHORT  4,836  GBP 0.87

   Short Swap  SHORT  10,000  GBP 0.88

   Short Swap  SHORT  104,482  GBP 0.91

   (c)     Options transactions in respect of existing securities

   Product name  Writing,   Number of   Exercise   Type, e.g.   Expiry   Option 

     selling,   securities under   price   American,   date  money

   eg call option  purchasing,   option  European etc  paid/received

   varying etc.    per unit 

                     

   (ii) Exercising

   Product name  Number of securities under   Exercise price 

   eg call option  option

         

   3. 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. 

   NONE

   Date of disclosure  04/12/2008

   Contact name  Bhavika Mistry

   Telephone number  +44 207 995 4747

   Name of offeree/offeror with whom connected  Lloyds TSB Group Plc

   Nature of connection    Advisor
   ž



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