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NEW New World Oil

0.06
0.00 (0.00%)
03 Dec 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
New World Oil LSE:NEW London Ordinary Share JE00B65FK239 ORD NPV
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 0.06 0.00 00:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Rule 8 - New Look Group Plc

23/01/2004 12:34pm

UK Regulatory


RNS Number:5765U
Cantor Fitzgerald Europe
23 January 2004


FORM 8.1/8.3

Lodge with a RIS or Newstrack if appropriate and the Takeover Panel.  Use a
separate form for each class of securities in which dealings have been made.



Date of Disclosure

23/01/04......................................................



DISCLOSURE UNDER RULES 8.1(a), 8.1(b)(i) and 8.3 OF THE CITY CODE ON TAKEOVERS
AND MERGERS



Date of dealing

22/01/04...............................................................



Dealing in (name of company)

New Look Group Plc............................................................



1. Class of securities (eg ordinary shares)

Ordinary...............................................................



2.
Amount                      Amount                  Price
bought                      sold                    per unit

14,780                                              3.270
 7,600                                              3.2675
   101                                              3.2625
25,000                                              3.270
 5,300                                              3.265
25,000                                              3.270
15,000                                              3.270
 7,219                                              3.275

In addition, Cantor Fitzgerald Europe (and affiliates) have undertaken certain
CFD and Spreadbet transactions (see below)



3. Resultant total of the same class owned or controlled (and percentage of
class)

3,279,438 *       1.63%



4. Party making disclosure

Cantor Fitzgerald Europe......................................................



5. EITHER (a) Name of purchaser / vendor (Note 1)

Cantor Fitzgerald Europe......................................................


OR (b) if dealing for discretionary client(s), name of fund management
organisation

...............................................................



6. Reason for disclosure (Note 2)

...............................................................

(a) associate of

(i)  offeror (Note 3)

 NO

(ii) offeree company

 NO



Specify which category or categories of associate (1-8 overleaf)

...............................................................



If category (8), explain

...............................................................



(b) Rule 8.3 (ie disclosure because of ownership or control of 1% or more of the
class of relevant securities dealt in)

YES



Signed, for and on behalf of the party named in (4) above

...............................................................



(Also print name of signatory)

Ross Tanton...............................................................



Telephone and Extension number

020 7894 7214...............................................................



*In addition, Cantor Fitzgerald Europe (and affiliates) are party to certain
CFDs and Spreadbets (see below)


Note 1.

Specify owner, not nominee or vehicle company. If relevant, also identify
controller of owner, eg where an owner normally acts on instructions of a
controller

Note 2.

Disclosure might be made for more than one reason; if so, state all reasons.

Note 3.

Specify which offeror if there is more than one.

Note 4.

When an arrangement exists with any offeror, with the offeree company or with an
associate of any offeror or of the offeree company in relation to relevant
securities, details of such arrangement must be disclosed, as required by Note 6
on Rule 8.

Note 5.

It may be necessary, particularly when disclosing derivative transactions, to
append a sheet to this disclosure form so that all relevant information can be
given.

Note 6.

In the case of an average price bargain, each underlying trade should be
disclosed.

Note 7.

The resultant total percentage holding of the class of relevant security is to
be calculated by reference to the percentage held and in issue outside treasury.

For full details of disclosure requirements, see Rule 8 of the Code. If in
doubt, contact the Panel on Takeovers and Mergers, Monitoring Section, Tel. No:
020 7638 0129. Email: monitoring@disclosure.org.uk





                                            Date of Disclosure: January 23, 2004
Form 8 Enclosure

Cantor Fitzgerald Europe is the beneficial owner of 3,279,438 New Look Group PLC
ordinary shares.  2,575,000 of these shares are held to hedge Contract for
Differences ("CFD") positions for clients and 701,300 of these shares are held
to hedge Spreadbet positions between Cantor Index Limited and other clients.

A Long CFD is a product where the client to whom the product is sold is taking a
long economic interest in the underlying share price such that the client can
realise a gain if the price of the underlying securities rises above the
reference price.

A Spread Bet is a product where the client to whom the product is sold can
realise a gain or a loss depending on whether the price of the underlying
security increases above or falls below the reference price.  The client's
Spread bet position is described as his "stake".  A "stake" is expressed in
pounds (sterling) per "point" and a "point" is the price in pence of the
underlying shares.  A client with a "stake" of #100 per point will make a gain
of #100 for every penny increase in the underlying shares and he/she has an
exposure equivalent to 10,000 shares.

A purchaser of a Spread Bet or a CFD contract will realise a gain if the price
of the underlying security goes up. A seller of a Spread Bet or a CFD contract
will realise a gain if the price of the underlying security goes down.

There are no written or oral agreements between Cantor Fitzgerald Europe and any
clients concerning the control of voting rights in relation to the underlying
shares used to hedge the CFDs and Spreadbets.

The CFD contracts are open-ended and there is no rollover into new contracts



                                                                              
  Contracts for Differences                         Disclosure Date: 23-Jan-04  
  New Look Group Plc                   Cantor                      Reference  
                                     Fitzgerald      Underlying    Price      
                                                      Number                  
  Product Name       Date Executed    Buy/Sell      Of Shares      (pence)    

  New Look Group          August 8,     Sell             200,000          312 
  Plc, Long CFD               2003                                            

  New Look Group          August 8,     Sell             250,000          312 
  Plc, Long CFD               2003                                            

  New Look Group         October 1,     Sell             100,000          314 
  Plc, Long CFD               2003                                            

  New Look Group         October 1,     Sell             100,000          315 
  Plc, Long CFD               2003                                            

  New Look Group       December 10,     Sell             100,000          315 
  Plc, Long CFD               2003                                            

  New Look Group       December 23,     Sell             250,000       302.75 
  Plc, Long CFD               2003                                            

  New Look Group       December 24,     Sell             200,000          303 
  Plc, Long CFD               2003                                            

  New Look Group       December 30,     Sell             100,000        307.5 
  Plc, Long CFD               2003                                            

  New Look Group         January 2,     Sell             250,000          310 
  Plc, Long CFD               2004                                            

  New Look Group         January 5,     Sell             100,000       309.75 
  Plc, Long CFD               2004                                            

  New Look Group         January 6,     Sell             100,000          313 
  Plc, Long CFD               2004                                            

  New Look Group        January 14,     Sell              20,000          321 
  Plc, Long CFD               2004                                            

  New Look Group        January 14,     Sell             250,000          323 
  Plc, Long CFD               2004                                            

  New Look Group        January 14,     Sell             100,000          325 
  Plc, Long CFD               2004                                            

  New Look Group        January 14,     Sell             150,000       324.98 
  Plc, Long CFD               2004                                            

  New Look Group        January 14,     Sell             100,000       324.98 
  Plc, Long CFD               2004                                            

  New Look Group        January 15,     Sell              20,000        328.5 
  Plc, Long CFD               2004                                            

  New Look Group        January 16,     Sell              25,000          326 
  Plc, Long CFD               2004                                            

  New Look Group        January 16,     Sell              10,000       327.89 
  Plc, Long CFD               2004                                            

  New Look Group        January 16,     Sell              10,000        328.5 
  Plc, Long CFD               2004                                            

  New Look Group        January 16,     Sell               5,000        327.5 
  Plc, Long CFD               2004                                            

  New Look Group        January 16,     Sell              25,000          326 
  Plc, Long CFD               2004                                            

  New Look Group        January 19,     Sell               8,479          326 
  Plc, Long CFD               2004                                            

  New Look Group        January 20,     Sell               1,521          326 
  Plc, Long CFD               2004                                            

  New Look Group        January 22,     Sell             100,000       326.99 
  Plc, Long CFD               2004                                            

                                                       2,575,000              
                                                                              


  Spread Bets                          Cantor                      Reference  
  New Look Group Plc                 Fitzgerald    Stake - # per   Price      
                                                      Point                   
  Expiry Date        Date Executed    Buy/Sell      1 Point = 1    (pence)    
                                                      pence                   

  16-Mar-04            November 24,     Sell                  20          316 
                              2003                                            

  16-Mar-04            November 24,     Sell                  50        312.5 
                              2003                                            

  16-Mar-04            November 25,     Sell                  20        316.5 
                              2003                                            

  16-Mar-04             December 5,     Sell                 150        313.8 
                              2003                                            

  16-Mar-04            December 10,     Sell                 100        322.6 
                              2003                                            

  16-Mar-04            December 15,     Sell                  50        316.1 
                              2003                                            

  16-Mar-04            December 16,     Sell                 260        311.2 
                              2003                                            

  16-Mar-04            December 16,     Sell               1,416        310.9 
                              2003                                            

  16-Mar-04            December 16,     Sell                 200        310.9 
                              2003                                            

  16-Mar-04            December 16,     Sell               2,958          312 
                              2003                                            

  16-Mar-04            December 16,     Sell                 830          313 
                              2003                                            

  16-Mar-04             January 14,     Sell                  50        329.3 
                              2004                                            

  16-Mar-04             January 16,     Sell                 100        329.9 
                              2004                                            

  16-Mar-04             January 21,     Sell                 584          330 
                              2004                                            

  23-Jan-04             January 15,     Sell                 200          330 
                              2004                                            

  23-Jan-04             January 16,     Sell                  25        329.3 
                              2004                                            

                                                           7,013              
                                                                              
                                                                              
                                                                              

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

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