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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Brixton | LSE:BXTN | London | Ordinary Share | GB0001430023 | ORD 25P |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 61.00 | 0.00 | 00:00:00 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
0 | 0 | N/A | 0 |
TIDMHSN TIDMBXTN TIDMNEX TIDMSGC RNS Number : 6157X Merrill Lynch International 18 August 2009 +------------------------------------------------------------------------+------------+ | | 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 | Hansen Transmissions International NV | +-+------------------------------------+----------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Class of relevant security to | Common | | | which the | | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | dealings being disclosed relate | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Date of dealing | 17/08/2009 | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | 2. DEALINGS | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------------------------------------------------------+ | | (a) Purchases and sales | +-+------------------------------------------------------------------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price received | | Lowest price received | | | securities sold | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 1,282 | GBP 1.38 | GBP 1.38 | +-+---------------------------+---------------------------+----------------------------+ +-+------------------------------------------------------------------------------------+ | | (b) Derivatives transactions (other than options) | +-+------------------------------------------------------------------------------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 1,282 | GBP 1.37 | +-+----------------+-------------------+-------------------------------+----------------+ +-+------------------------------------------------------------------------------------+ | | (c) Options transactions in respect of existing securities | +-+------------------------------------------------------------------------------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | Product | Writing, | Number of | Exercise | Type, | Expiry | Option | | | name | | | | e.g. | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | | selling, | securities | price | American, | date | money | | | | | under | | | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+-------------+-----------------------+----------------------+---------------+ | | eg call | purchasing, | option | European etc | paid/received | | | option | | | | | +-+------------+-------------+-----------------------+----------------------+---------------+ +-------------+------------------------------------+----------------------+--------------+ | | varying etc. | | per unit | +-------------+------------------------------------+----------------------+--------------+ +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ | | | | | | | | | | | | +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ +-+------------------------------------------------------------------------------------+ | | (ii) Exercising | +-+------------------------------------------------------------------------------------+ +-+---------------------------+--------------------------+-------------------------------+ | | Product name | Number of securities | Exercise price | | | | under | | +-+---------------------------+--------------------------+-------------------------------+ +-+---------------------------+---------------------------------------------------------+ | | 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 | 18/08/2009 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Contact name | Bhavika Mistry | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Telephone number | +44 207 995 4747 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Name of offeree/offeror with whom | Hansen Transmissions International NV | | | connected | | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Nature of connection # | Advisor | +-+-----------------------------------------+------------------------------------------+ +------------------------------------------------------------------------+------------+ | | 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 | Brixton plc | +-+------------------------------------+----------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Class of relevant security to | Common | | | which the | | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | dealings being disclosed relate | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Date of dealing | 17/08/2009 | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | 2. DEALINGS | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------------------------------------------------------+ | | (a) Purchases and sales | +-+------------------------------------------------------------------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price paid | | Lowest price paid | | | securities | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+ | | purchased | +-+---------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 17,000 | GBP 0.58 | GBP 0.57 | +-+---------------------------+---------------------------+----------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price received | | Lowest price received | | | securities sold | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 81,008 | GBP 0.57 | GBP 0.57 | +-+---------------------------+---------------------------+----------------------------+ +-+------------------------------------------------------------------------------------+ | | (b) Derivatives transactions (other than options) | +-+------------------------------------------------------------------------------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 15,060 | GBP 0.57 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 48,948 | GBP 0.57 | +-+----------------+-------------------+-------------------------------+----------------+ +-+------------------------------------------------------------------------------------+ | | (c) Options transactions in respect of existing securities | +-+------------------------------------------------------------------------------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | Product | Writing, | Number of | Exercise | Type, | Expiry | Option | | | name | | | | e.g. | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | | selling, | securities | price | American, | date | money | | | | | under | | | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+-------------+-----------------------+----------------------+---------------+ | | eg call | purchasing, | option | European etc | paid/received | | | option | | | | | +-+------------+-------------+-----------------------+----------------------+---------------+ +-------------+------------------------------------+----------------------+--------------+ | | varying etc. | | per unit | +-------------+------------------------------------+----------------------+--------------+ +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ | | | | | | | | | | | | +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ +-+------------------------------------------------------------------------------------+ | | (ii) Exercising | +-+------------------------------------------------------------------------------------+ +-+---------------------------+--------------------------+-------------------------------+ | | Product name | Number of securities | Exercise price | | | | under | | +-+---------------------------+--------------------------+-------------------------------+ +-+---------------------------+---------------------------------------------------------+ | | 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 | 18/08/2009 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Contact name | Bhavika Mistry | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Telephone number | +44 207 995 4747 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Name of offeree/offeror with whom | SEGRO PLC | | | connected | | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Nature of connection # | Advisor | +-+-----------------------------------------+------------------------------------------+ +------------------------------------------------------------------------+------------+ | | 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 | National Express Group Plc | +-+------------------------------------+----------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Class of relevant security to | Common | | | which the | | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | dealings being disclosed relate | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Date of dealing | 17/08/2009 | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | 2. DEALINGS | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------------------------------------------------------+ | | (a) Purchases and sales | +-+------------------------------------------------------------------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price paid | | Lowest price paid | | | securities | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+ | | purchased | +-+---------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 28,847 | GBP 3.60 | GBP 3.48 | +-+---------------------------+---------------------------+----------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price received | | Lowest price received | | | securities sold | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 60,089 | GBP 3.60 | GBP 3.47 | +-+---------------------------+---------------------------+----------------------------+ +-+------------------------------------------------------------------------------------+ | | (b) Derivatives transactions (other than options) | +-+------------------------------------------------------------------------------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 2,116 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 69 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 19 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 5 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 2 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 2 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 1 | GBP 3.51 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 846 | GBP 3.58 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 4,047 | GBP 3.50 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 28,563 | GBP 3.50 | +-+----------------+-------------------+-------------------------------+----------------+ +-+------------------------------------------------------------------------------------+ | | (c) Options transactions in respect of existing securities | +-+------------------------------------------------------------------------------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | Product | Writing, | Number of | Exercise | Type, | Expiry | Option | | | name | | | | e.g. | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | | selling, | securities | price | American, | date | money | | | | | under | | | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+-------------+-----------------------+----------------------+---------------+ | | eg call | purchasing, | option | European etc | paid/received | | | option | | | | | +-+------------+-------------+-----------------------+----------------------+---------------+ +-------------+------------------------------------+----------------------+--------------+ | | varying etc. | | per unit | +-------------+------------------------------------+----------------------+--------------+ +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ | | | | | | | | | | | | +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ +-+------------------------------------------------------------------------------------+ | | (ii) Exercising | +-+------------------------------------------------------------------------------------+ +-+---------------------------+--------------------------+-------------------------------+ | | Product name | Number of securities | Exercise price | | | | under | | +-+---------------------------+--------------------------+-------------------------------+ +-+---------------------------+---------------------------------------------------------+ | | 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 | 18/08/2009 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Contact name | Bhavika Mistry | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Telephone number | +44 207 995 4747 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Name of offeree/offeror with whom | National Express Group | | | connected | | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Nature of connection # | Advisor | +-+-----------------------------------------+------------------------------------------+ +------------------------------------------------------------------------+------------+ | | 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 | STAGECOACH GROUP PLC | +-+------------------------------------+----------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Class of relevant security to | Common | | | which the | | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | dealings being disclosed relate | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------+----------------------------------------------+ | | Date of dealing | 17/08/2009 | +-+------------------------------------+----------------------------------------------+ +-+-----------------------------------------------------------------------------------+ | | 2. DEALINGS | +-+-----------------------------------------------------------------------------------+ +-+------------------------------------------------------------------------------------+ | | (a) Purchases and sales | +-+------------------------------------------------------------------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price paid | | Lowest price paid | | | securities | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+ | | purchased | +-+---------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 159,962 | GBP 1.42 | GBP 1.41 | +-+---------------------------+---------------------------+----------------------------+ +-+---------------------------+---------------------------+-+----------------------------+ | | Total number of | Highest price received | | Lowest price received | | | securities sold | | | | +-+---------------------------+---------------------------+-+----------------------------+ +-+---------------------------+---------------------------+----------------------------+ | | 162,180 | GBP 1.42 | GBP 1.40 | +-+---------------------------+---------------------------+----------------------------+ +-+------------------------------------------------------------------------------------+ | | (b) Derivatives transactions (other than options) | +-+------------------------------------------------------------------------------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 29,057 | GBP 1.41 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 23,917 | GBP 1.41 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 13,280 | GBP 1.41 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Long Swap | LONG | 6,840 | GBP 1.41 | +-+----------------+-------------------+-------------------------------+----------------+ +-+----------------+-+-------------------+-+-------------------------------+-----------------+ | |Product name, | | Short/Long | | Number of securities |Price per unit | +-+----------------+-+-------------------+-+-------------------------------+-----------------+ +-+----------------+-+-------------------+ | | eg. CFD | | | +-+----------------+-+-------------------+ +-+----------------+-------------------+-------------------------------+----------------+ | | Short Swap | SHORT | 54,307 | GBP 1.41 | +-+----------------+-------------------+-------------------------------+----------------+ +-+------------------------------------------------------------------------------------+ | | (c) Options transactions in respect of existing securities | +-+------------------------------------------------------------------------------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | Product | Writing, | Number of | Exercise | Type, | Expiry | Option | | | name | | | | e.g. | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+------------+-------------+----------+-----------+-----------+--------------+ | | | selling, | securities | price | American, | date | money | | | | | under | | | | | +-+------------+------------+-------------+----------+-----------+-----------+--------------+ +-+------------+-------------+-----------------------+----------------------+---------------+ | | eg call | purchasing, | option | European etc | paid/received | | | option | | | | | +-+------------+-------------+-----------------------+----------------------+---------------+ +-------------+------------------------------------+----------------------+--------------+ | | varying etc. | | per unit | +-------------+------------------------------------+----------------------+--------------+ +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ | | | | | | | | | | | | +-+------------+------------+-+-------------+----------+-----------+-+-----------+-+-----------+ +-+------------------------------------------------------------------------------------+ | | (ii) Exercising | +-+------------------------------------------------------------------------------------+ +-+---------------------------+--------------------------+-------------------------------+ | | Product name | Number of securities | Exercise price | | | | under | | +-+---------------------------+--------------------------+-------------------------------+ +-+---------------------------+---------------------------------------------------------+ | | 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 | 18/08/2009 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Contact name | Bhavika Mistry | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Telephone number | +44 207 995 4747 | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Name of offeree/offeror with whom | National Express Group Plc | | | connected | | +-+-----------------------------------------+------------------------------------------+ +-+-----------------------------------------+------------------------------------------+ | | Nature of connection # | Advisor | +-+-----------------------------------------+------------------------------------------+ This information is provided by RNS The company news service from the London Stock Exchange END EMMSFAFSASUSEFA
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