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INL/INP - Investec Limited/Investec plc - Form 8 (DD)
Investec Limited
Incorporated in the Republic of South Africa
Registration number 1925/002833/06
JSE share code: INL
ISIN: ZAE000081949
Investec plc
Incorporated in England and Wales
Registration number 3633621
JSE share code: INP
ISIN: GB00B17BBQ50
(jointly "Investec")
As part of the dual listed company structure, Investec plc and Investec
Limited notify both the London Stock Exchange and the JSE Limited of matters
which are required to be disclosed under the Disclosure, Transparency and
Listing Rules of the United Kingdom Listing Authority (the "UKLA") and/or the
JSE Listing Requirements.
FORM 8 (DD)
PUBLIC DEALING DISCLOSURE BY A PARTY TO AN OFFER OR PERSON ACTING IN CONCERT
(INCLUDING DEALINGS FOR THE ACCOUNT OF DISCRETIONARY INVESTMENT CLIENTS)
Rules 8.1, 8.2 and 8.4 of the Takeover Code (the "Code")
1. KEY INFORMATION
(a) Identity of the party to the offer or INVESTEC LTD
person acting in concert making the
disclosure:
(b) Owner or controller of interests and
short positions disclosed, if different from
1(a):
The naming of nominee or vehicle
companies is insufficient
(c) Name of offeror/offeree in relation to INVESTEC LTD
whose relevant securities this form relates:
Use a separate form for each
offeror/offeree
(d) Status of person making the disclosure: OFFEROR
e.g. offeror, offeree, person acting in
concert with the offeror/offeree (specify name
of offeror/offeree)
(e) Date dealing undertaken: 24/08/2011
(f) Has the party previously disclosed, or is YES - INVESTEC PLC &
it today disclosing, under the Code in respect EVOLUTION GROUP PLC
of any other party to this offer'
2. POSITIONS OF THE PERSON MAKING THE DISCLOSURE
(a) Interests and short positions in the relevant securities of the offeror
or offeree to which the disclosure relates following the dealing
Class of relevant security: ZAR 0.0002 ordinary
Interests Short positions
Number % Number %
(1) Relevant securities
owned and/or controlled: 12,174,891 4.5658 1,618,316 0.6167
(2) Derivatives (other than
options):
(3) Options and agreements 14,016,720 5.3416
to purchase/sell: 33,654,728 12.8255
15,635,036 5.9583
TOTAL: 45,829,619 17.3912
All interests and all short positions should be disclosed.
Details of any open derivative or option positions, or agreements to purchase
or sell relevant securities, should be given on a Supplemental Form 8 (Open
Positions).
Details of any securities borrowing and lending positions or financial
collateral arrangements should be disclosed on a Supplemental Form 8 (SBL).
(b) Rights to subscribe for new securities (including directors` and other
executive options)
Class of relevant security in
relation to which subscription right
exists:
Details, including nature of the
rights concerned and relevant
percentages:
If there are positions or rights to subscribe to disclose in more than one
class of relevant securities of the offeror or offeree named in 1(c), copy
table 2(a) or (b) (as appropriate) for each additional class of relevant
security.
3. DEALINGS BY THE PERSON MAKING THE DISCLOSURE
(a) Purchases and sales
Class of Purchase/sale Number of Price per unit
relevant securities ZAR (cents)
security
Ordinary Purchase 419 4712
Ordinary Purchase 419 4718
Ordinary Purchase 419 4738
Ordinary Purchase 419 4747
Ordinary Purchase 419 4752
Ordinary Purchase 895 4758
Ordinary Purchase 419 4761
Ordinary Purchase 419 4765
Ordinary Purchase 362 4767
Ordinary Purchase 838 4768
Ordinary Purchase 419 4780
Ordinary Purchase 419 4807
Ordinary Purchase 400 4815
Ordinary Purchase 19 4816
Ordinary Purchase 104 4818
Ordinary Purchase 419 4822
Ordinary Purchase 315 4827
Ordinary Purchase 419 4840
Ordinary Sale 419 4707
Ordinary Sale 419 4715
Ordinary Sale 419 4717
Ordinary Sale 419 4724
Ordinary Sale 13,614 4728
Ordinary Sale 18,138 4729
Ordinary Sale 3,946 4731
Ordinary Sale 419 4733
Ordinary Sale 419 4735
Ordinary Sale 1,257 4738
Ordinary Sale 419 4811
(b) Derivatives transactions (other than options)
Class of Product Nature of dealing Number of Price per
relevant description e.g. opening/closing reference unit
security e.g. CFD a long/short securities
position,
increasing/reducing a
long/short position
(c) Options transactions in respect of existing securities
(i) Writing, selling, purchasing or varying
Class of Product Writing, Number Exerc Type Expiry Option
relevant descriptio purchasing of ise e.g. date money
security n e.g. , selling, securit price American, paid/
call varying ies to per European receiv
option etc. which unit etc. ed per
option (ZAR) unit
relates
(ii) Exercising
Class of relevant Product Number of Exercise price per
security description securities unit
e.g. call option
(d) Other dealings (including subscribing for new securities)
Class of Nature of dealing Details Price per unit
relevant e.g. subscription, (if applicable)
security conversion
The currency of all prices and other monetary amounts should be stated.
Where there have been dealings in more than one class of relevant securities
of the offeror or offeree named in 1(c), copy table 3(a), (b), (c) or (d) (as
appropriate) for each additional class of relevant security dealt in.
4. OTHER INFORMATION
(a) Indemnity and other dealing arrangements
Details of any indemnity or option arrangement, or any agreement or
understanding, formal or informal, relating to relevant securities which may
be an inducement to deal or refrain from dealing entered into by the party to
the offer or person acting in concert making the disclosure and any other
person:
If there are no such agreements, arrangements or understandings, state "none"
(b) Agreements, arrangements or understandings relating to options or
derivatives
Details of any agreement, arrangement or understanding, formal or informal,
between the party to the offer or person acting in concert making the
disclosure and any other person relating to:
(i) the voting rights of any relevant securities under any option; or
(ii) the voting rights or future acquisition or disposal of any relevant
securities to which any derivative is referenced:
If there are no such agreements, arrangements or understandings, state "none"
None.
(c) Attachments
Are any Supplemental Forms attached'
Supplemental Form 8 (Open Positions) YES
Supplemental Form 8 (SBL) NO
Date of disclosure: 25/08/2011
Contact name: Gary Darch
Telephone number: 0207 597 4549
Public disclosures under Rule 8 of the Code must be made to a Regulatory
Information Service and must also be emailed to the Takeover Panel at
monitoring@disclosure.org.uk. The Panel`s Market Surveillance Unit is
available for consultation in relation to the Code`s dealing disclosure
requirements on +44 (0)20 7638 0129.
The Code can be viewed on the Panel`s website at www.thetakeoverpanel.org.uk.
SUPPLEMENTAL FORM 8 (OPEN POSITIONS)
DETAILS OF OPEN OPTION AND DERIVATIVE POSITIONS, AGREEMENTS TO PURCHASE OR
SELL ETC.
Note 5(i) on Rule 8 of the Takeover Code (the "Code")
1. KEY INFORMATION
Identity of person whose open positions are INVESTEC LTD
being disclosed:
Name of offeror/offeree in relation to whose INVESTEC LTD
relevant securities the disclosure relates:
2. OPTIONS AND DERIVATIVES
Class of Product Written or Number of Exerci Type Expiry
relevant descriptio purchased securitie se e.g. date
security n e.g. s to price American,
call which per European
option option or unit etc.
derivativ (ZAR)
e relates
ZAR 0.0002 Put Option Purchased 16,720 46 American 15/09/2011
Ordinary Futures Written 918 N/A European 15/09/2011
ZAR 0.0002 Call Written 94,961 42 European 21/10/2011
Ordinary Option Written 94,961 42 European 24/10/2011
ZAR 0.0002 Call Written 94,961 42 European 25/10/2011
Ordinary Option Written 94,961 42 European 26/10/2011
ZAR 0.0002 Call Written 94,961 42 European 27/10/2011
Ordinary Option Written 94,961 42 European 28/10/2011
ZAR 0.0002 Call Written 94,961 42 European 31/10/2011
Ordinary Option Written 94,961 42 European 01/11/2011
ZAR 0.0002 Call Written 94,961 42 European 02/11/2011
Ordinary Option Written 94,961 42 European 03/11/2011
ZAR 0.0002 Call Written 94,961 42 European 04/11/2011
Ordinary Option Written 94,961 42 European 07/11/2011
ZAR 0.0002 Call Written 94,961 42 European 08/11/2011
Ordinary Option Written 94,961 42 European 09/11/2011
ZAR 0.0002 Call Written 94,961 42 European 10/11/2011
Ordinary Option Written 94,961 42 European 11/11/2011
ZAR 0.0002 Call Written 94,961 42 European 14/11/2011
Ordinary Option Written 94,961 42 European 15/11/2011
ZAR 0.0002 Call Written 94,961 42 European 16/11/2011
Ordinary Option Written 94,961 42 European 17/11/2011
ZAR 0.0002 Call Written 94,961 42 European 18/11/2011
Ordinary Option Written 94,961 42 European 21/11/2011
ZAR 0.0002 Call Written 94,961 42 European 22/11/2011
Ordinary Option Written 94,961 42 European 23/11/2011
ZAR 0.0002 Call Written 94,961 42 European 24/11/2011
Ordinary Option Written 94,961 42 European 25/11/2011
ZAR 0.0002 Call Written 94,961 42 European 28/11/2011
Ordinary Option Written 94,961 42 European 29/11/2011
ZAR 0.0002 Call Written 94,961 42 European 30/11/2011
Ordinary Option Written 94,968 42 European 01/12/2011
ZAR 0.0002 Call Written 94,961 42 European 19/04/2012
Ordinary Option Written 94,961 42 European 20/04/2012
ZAR 0.0002 Call Written 94,961 42 European 23/04/2012
Ordinary Option Written 94,961 42 European 24/04/2012
ZAR 0.0002 Call Written 94,961 42 European 25/04/2012
Ordinary Option Written 94,961 42 European 26/04/2012
ZAR 0.0002 Call Written 94,961 42 European 30/04/2012
Ordinary Option Written 94,961 42 European 02/05/2012
ZAR 0.0002 Call Written 94,961 42 European 03/05/2012
Ordinary Option Written 94,961 42 European 04/05/2012
ZAR 0.0002 Call Written 94,961 42 European 07/05/2012
Ordinary Option Written 94,961 42 European 08/05/2012
ZAR 0.0002 Call Written 94,961 42 European 09/05/2012
Ordinary Option Written 94,961 42 European 10/05/2012
ZAR 0.0002 Call Written 94,961 42 European 11/05/2012
Ordinary Option Written 94,961 42 European 14/05/2012
ZAR 0.0002 Call Written 94,961 42 European 15/05/2012
Ordinary Option Written 94,961 42 European 16/05/2012
ZAR 0.0002 Call Written 94,961 42 European 17/05/2012
Ordinary Option Written 94,961 42 European 18/05/2012
ZAR 0.0002 Call Written 94,961 42 European 21/05/2012
Ordinary Option Written 94,961 42 European 22/05/2012
ZAR 0.0002 Call Written 94,961 42 European 23/05/2012
Ordinary Option Written 94,961 42 European 24/05/2012
ZAR 0.0002 Call Written 94,961 42 European 25/05/2012
Ordinary Option Written 94,961 42 European 28/05/2012
ZAR 0.0002 Call Written 94,961 42 European 29/05/2012
Ordinary Option Written 94,961 42 European 30/05/2012
ZAR 0.0002 Call Written 94,961 42 European 31/05/2012
Ordinary Option Written 94,968 42 European 01/06/2012
ZAR 0.0002 Call Written 81,395 42 European 22/10/2012
Ordinary Option Written 81,395 42 European 23/10/2012
ZAR 0.0002 Call Written 81,395 42 European 24/10/2012
Ordinary Option Written 81,395 42 European 25/10/2012
ZAR 0.0002 Call Written 81,395 42 European 26/10/2012
Ordinary Option Written 81,395 42 European 29/10/2012
ZAR 0.0002 Call Written 81,395 42 European 30/10/2012
Ordinary Option Written 81,395 42 European 31/10/2012
ZAR 0.0002 Call Written 81,395 42 European 01/11/2012
Ordinary Option Written 81,395 42 European 02/11/2012
ZAR 0.0002 Call Written 81,395 42 European 05/11/2012
Ordinary Option Written 81,395 42 European 06/11/2012
ZAR 0.0002 Call Written 81,395 42 European 07/11/2012
Ordinary Option Written 81,395 42 European 08/11/2012
ZAR 0.0002 Call Written 81,395 42 European 09/11/2012
Ordinary Option Written 81,395 42 European 12/11/2012
ZAR 0.0002 Call Written 81,395 42 European 13/11/2012
Ordinary Option Written 81,395 42 European 14/11/2012
ZAR 0.0002 Call Written 81,395 42 European 15/11/2012
Ordinary Option Written 81,395 42 European 16/11/2012
ZAR 0.0002 Call Written 81,395 42 European 19/11/2012
Ordinary Option Written 81,395 42 European 20/11/2012
ZAR 0.0002 Call Written 81,395 42 European 21/11/2012
Ordinary Option Written 81,395 42 European 22/11/2012
ZAR 0.0002 Call Written 81,395 42 European 23/11/2012
Ordinary Option Written 81,395 42 European 26/11/2012
ZAR 0.0002 Call Written 81,395 42 European 27/11/2012
Ordinary Option Written 81,395 42 European 28/11/2012
ZAR 0.0002 Call Written 81,395 42 European 29/11/2012
Ordinary Option Written 81,406 42 European 30/11/2012
ZAR 0.0002 Call Written 75,969 42 European 19/04/2013
Ordinary Option Written 75,969 42 European 22/04/2013
ZAR 0.0002 Call Written 75,969 42 European 23/04/2013
Ordinary Option Written 75,969 42 European 24/04/2013
ZAR 0.0002 Call Written 75,969 42 European 25/04/2013
Ordinary Option Written 75,969 42 European 26/04/2013
ZAR 0.0002 Call Written 75,969 42 European 29/04/2013
Ordinary Option Written 75,969 42 European 30/04/2013
ZAR 0.0002 Call Written 75,969 42 European 02/05/2013
Ordinary Option Written 75,969 42 European 03/05/2013
ZAR 0.0002 Call Written 75,969 42 European 06/05/2013
Ordinary Option Written 75,969 42 European 07/05/2013
ZAR 0.0002 Call Written 75,969 42 European 08/05/2013
Ordinary Option Written 75,969 42 European 09/05/2013
ZAR 0.0002 Call Written 75,969 42 European 10/05/2013
Ordinary Option Written 75,969 42 European 13/05/2013
ZAR 0.0002 Call Written 75,969 42 European 14/05/2013
Ordinary Option Written 75,969 42 European 15/05/2013
ZAR 0.0002 Call Written 75,969 42 European 16/05/2013
Ordinary Option Written 75,969 42 European 17/05/2013
ZAR 0.0002 Call Written 75,969 42 European 20/05/2013
Ordinary Option Written 75,969 42 European 21/05/2013
ZAR 0.0002 Call Written 75,969 42 European 22/05/2013
Ordinary Option Written 75,969 42 European 23/05/2013
ZAR 0.0002 Call Written 75,969 42 European 24/05/2013
Ordinary Option Written 75,969 42 European 27/05/2013
ZAR 0.0002 Call Written 75,969 42 European 28/05/2013
Ordinary Option Written 75,969 42 European 29/05/2013
ZAR 0.0002 Call Written 75,969 42 European 30/05/2013
Ordinary Option Written 75,969 42 European 31/05/2013
ZAR 0.0002 Call Written 65,116 42 European 21/10/2013
Ordinary Option Written 65,116 42 European 22/10/2013
ZAR 0.0002 Call Written 65,116 42 European 23/10/2013
Ordinary Option Written 65,116 42 European 24/10/2013
ZAR 0.0002 Call Written 65,116 42 European 25/10/2013
Ordinary Option Written 65,116 42 European 28/10/2013
ZAR 0.0002 Call Written 65,116 42 European 29/10/2013
Ordinary Option Written 65,116 42 European 30/10/2013
ZAR 0.0002 Call Written 65,116 42 European 31/10/2013
Ordinary Option Written 65,116 42 European 01/11/2013
ZAR 0.0002 Call Written 65,116 42 European 04/11/2013
Ordinary Option Written 65,116 42 European 05/11/2013
ZAR 0.0002 Call Written 65,116 42 European 06/11/2013
Ordinary Option Written 65,116 42 European 07/11/2013
ZAR 0.0002 Call Written 65,116 42 European 08/11/2013
Ordinary Option Written 65,116 42 European 11/11/2013
ZAR 0.0002 Call Written 65,116 42 European 12/11/2013
Ordinary Option Written 65,116 42 European 13/11/2013
ZAR 0.0002 Call Written 65,116 42 European 14/11/2013
Ordinary Option Written 65,116 42 European 15/11/2013
ZAR 0.0002 Call Written 65,116 42 European 18/11/2013
Ordinary Option Written 65,116 42 European 19/11/2013
ZAR 0.0002 Call Written 65,116 42 European 20/11/2013
Ordinary Option Written 65,116 42 European 21/11/2013
ZAR 0.0002 Call Written 65,116 42 European 22/11/2013
Ordinary Option Written 65,116 42 European 25/11/2013
ZAR 0.0002 Call Written 65,116 42 European 26/11/2013
Ordinary Option Written 65,116 42 European 27/11/2013
ZAR 0.0002 Call Written 65,116 42 European 28/11/2013
Ordinary Option Written 65,124 42 European 29/11/2013
ZAR 0.0002 Call Written 54,264 42 European 15/04/2014
Ordinary Option Written 54,264 42 European 16/04/2014
ZAR 0.0002 Call Written 54,264 42 European 17/04/2014
Ordinary Option Written 54,264 42 European 22/04/2014
ZAR 0.0002 Call Written 54,264 42 European 23/04/2014
Ordinary Option Written 54,264 42 European 24/04/2014
ZAR 0.0002 Call Written 54,264 42 European 25/04/2014
Ordinary Option Written 54,264 42 European 29/04/2014
ZAR 0.0002 Call Written 54,264 42 European 30/04/2014
Ordinary Option Written 54,264 42 European 02/05/2014
ZAR 0.0002 Call Written 54,264 42 European 05/05/2014
Ordinary Option Written 54,264 42 European 06/05/2014
ZAR 0.0002 Call Written 54,264 42 European 07/05/2014
Ordinary Option Written 54,264 42 European 08/05/2014
ZAR 0.0002 Call Written 54,264 42 European 09/05/2014
Ordinary Option Written 54,264 42 European 12/05/2014
ZAR 0.0002 Call Written 54,264 42 European 13/05/2014
Ordinary Option Written 54,264 42 European 14/05/2014
ZAR 0.0002 Call Written 54,264 42 European 15/05/2014
Ordinary Option Written 54,264 42 European 16/05/2014
ZAR 0.0002 Call Written 54,264 42 European 19/05/2014
Ordinary Option Written 54,264 42 European 20/05/2014
ZAR 0.0002 Call Written 54,264 42 European 21/05/2014
Ordinary Option Written 54,264 42 European 22/05/2014
ZAR 0.0002 Call Written 54,264 42 European 23/05/2014
Ordinary Option Written 54,264 42 European 26/05/2014
ZAR 0.0002 Call Written 54,264 42 European 27/05/2014
Ordinary Option Written 54,264 42 European 28/05/2014
ZAR 0.0002 Call Written 54,264 42 European 29/05/2014
Ordinary Option Written 54,251 42 European 30/05/2014
ZAR 0.0002 Call Written 276,399 51 European 01/08/2016
Ordinary Option Purchased 276,399 53 European 01/08/2016
ZAR 0.0002 Call Written 276,399 51 European 02/08/2016
Ordinary Option Purchased 276,399 53 European 02/08/2016
ZAR 0.0002 Call Written 276,399 51 European 03/08/2016
Ordinary Option Purchased 276,399 53 European 03/08/2016
ZAR 0.0002 Call Written 276,399 51 European 04/08/2016
Ordinary Option Purchased 276,399 53 European 04/08/2016
ZAR 0.0002 Call Written 276,399 51 European 05/08/2016
Ordinary Option Purchased 276,399 53 European 05/08/2016
ZAR 0.0002 Call Written 276,399 51 European 08/08/2016
Ordinary Option Purchased 276,399 53 European 08/08/2016
ZAR 0.0002 Call Written 276,399 51 European 10/08/2016
Ordinary Option Purchased 276,399 53 European 10/08/2016
ZAR 0.0002 Call Written 276,399 51 European 11/08/2016
Ordinary Option Purchased 276,399 53 European 11/08/2016
ZAR 0.0002 Call Written 276,399 51 European 12/08/2016
Ordinary Option Purchased 276,399 53 European 12/08/2016
ZAR 0.0002 Call Written 276,399 51 European 15/08/2016
Ordinary Option Purchased 276,399 53 European 15/08/2016
ZAR 0.0002 Call Written 276,399 51 European 16/08/2016
Ordinary Option Purchased 276,399 53 European 16/08/2016
ZAR 0.0002 Call Written 276,399 51 European 17/08/2016
Ordinary Option Purchased 276,399 53 European 17/08/2016
ZAR 0.0002 Call Written 276,399 51 European 18/08/2016
Ordinary Option Purchased 276,399 53 European 18/08/2016
ZAR 0.0002 Call Written 276,399 51 European 19/08/2016
Ordinary Option Purchased 276,399 53 European 19/08/2016
ZAR 0.0002 Call Written 276,399 51 European 22/08/2016
Ordinary Option Purchased 276,399 53 European 22/08/2016
ZAR 0.0002 Call Written 276,399 51 European 23/08/2016
Ordinary Option Purchased 276,399 53 European 23/08/2016
ZAR 0.0002 Call Written 276,399 51 European 24/08/2016
Ordinary Option Purchased 276,399 53 European 24/08/2016
ZAR 0.0002 Call Written 276,399 51 European 25/08/2016
Ordinary Option Purchased 276,399 53 European 25/08/2016
ZAR 0.0002 Call Written 276,397 51 European 26/08/2016
Ordinary Option Purchased 276,397 53 European 26/08/2016
ZAR 0.0002 Call Written 306,166 49 European 30/07/2018
Ordinary Option Purchased 306,166 54 European 30/07/2018
ZAR 0.0002 Call Written 306,166 49 European 31/07/2018
Ordinary Option Purchased 306,166 54 European 31/07/2018
ZAR 0.0002 Call Written 306,166 49 European 01/08/2018
Ordinary Option Purchased 306,166 54 European 01/08/2018
ZAR 0.0002 Call Written 306,166 49 European 02/08/2018
Ordinary Option Purchased 306,166 54 European 02/08/2018
ZAR 0.0002 Call Written 306,166 49 European 03/08/2018
Ordinary Option Purchased 306,166 54 European 03/08/2018
ZAR 0.0002 Call Written 306,166 49 European 06/08/2018
Ordinary Option Purchased 306,166 54 European 06/08/2018
ZAR 0.0002 Call Written 306,166 49 European 07/08/2018
Ordinary Option Purchased 306,166 54 European 07/08/2018
ZAR 0.0002 Call Written 306,166 49 European 08/08/2018
Ordinary Option Purchased 306,166 54 European 08/08/2018
ZAR 0.0002 Call Written 306,166 49 European 10/08/2018
Ordinary Option Purchased 306,166 54 European 10/08/2018
ZAR 0.0002 Call Written 306,166 49 European 13/08/2018
Ordinary Option Purchased 306,166 54 European 13/08/2018
ZAR 0.0002 Call Written 306,166 49 European 14/08/2018
Ordinary Option Purchased 306,166 54 European 14/08/2018
ZAR 0.0002 Call Written 306,166 49 European 15/08/2018
Ordinary Option Purchased 306,166 54 European 15/08/2018
ZAR 0.0002 Call Written 306,166 49 European 16/08/2018
Ordinary Option Purchased 306,166 54 European 16/08/2018
ZAR 0.0002 Call Written 306,166 49 European 17/08/2018
Ordinary Option Purchased 306,166 54 European 17/08/2018
ZAR 0.0002 Call Written 306,166 49 European 20/08/2018
Ordinary Option Purchased 306,166 54 European 20/08/2018
ZAR 0.0002 Call Written 306,166 49 European 21/08/2018
Ordinary Option Purchased 306,166 54 European 21/08/2018
ZAR 0.0002 Call Written 306,166 49 European 22/08/2018
Ordinary Option Purchased 306,166 54 European 22/08/2018
ZAR 0.0002 Call Written 306,166 49 European 23/08/2018
Ordinary Option Purchased 306,166 54 European 23/08/2018
ZAR 0.0002 Call Written 306,173 49 European 24/08/2018
Ordinary Option Purchased 306,173 54 European 24/08/2018
ZAR 0.0002 Call Written 303,061 51 European 27/08/2018
Ordinary Option Purchased 303,061 53 European 27/08/2018
ZAR 0.0002 Call Written 303,061 51 European 28/08/2018
Ordinary Option Purchased 303,061 53 European 28/08/2018
ZAR 0.0002 Call Written 303,061 51 European 29/08/2018
Ordinary Option Purchased 303,061 53 European 29/08/2018
ZAR 0.0002 Call Written 303,061 51 European 30/08/2018
Ordinary Option Purchased 303,061 53 European 30/08/2018
ZAR 0.0002 Call Written 303,061 51 European 31/08/2018
Ordinary Option Purchased 303,061 53 European 31/08/2018
ZAR 0.0002 Call Written 303,061 51 European 03/09/2018
Ordinary Option Purchased 303,061 53 European 03/09/2018
ZAR 0.0002 Call Written 303,061 51 European 04/09/2018
Ordinary Option Purchased 303,061 53 European 04/09/2018
ZAR 0.0002 Call Written 303,061 51 European 05/09/2018
Ordinary Option Purchased 303,061 53 European 05/09/2018
ZAR 0.0002 Call Written 303,061 51 European 06/09/2018
Ordinary Option Purchased 303,061 53 European 06/09/2018
ZAR 0.0002 Call Written 303,061 51 European 07/09/2018
Ordinary Option Purchased 303,061 53 European 07/09/2018
ZAR 0.0002 Call Written 303,061 51 European 10/09/2018
Ordinary Option Purchased 303,061 53 European 10/09/2018
ZAR 0.0002 Call Written 303,061 51 European 11/09/2018
Ordinary Option Purchased 303,061 53 European 11/09/2018
ZAR 0.0002 Call Written 303,061 51 European 12/09/2018
Ordinary Option Purchased 303,061 53 European 12/09/2018
ZAR 0.0002 Call Written 303,061 51 European 13/09/2018
Ordinary Option Purchased 303,061 53 European 13/09/2018
ZAR 0.0002 Call Written 303,061 51 European 14/09/2018
Ordinary Option Purchased 303,061 53 European 14/09/2018
ZAR 0.0002 Call Written 303,061 51 European 17/09/2018
Ordinary Option Purchased 303,061 53 European 17/09/2018
ZAR 0.0002 Call Written 303,061 51 European 18/09/2018
Ordinary Option Purchased 303,061 53 European 18/09/2018
ZAR 0.0002 Call Written 303,061 51 European 19/09/2018
Ordinary Option Purchased 303,061 53 European 19/09/2018
ZAR 0.0002 Call Written 303,067 51 European 20/09/2018
Ordinary Option Purchased 303,067 53 European 20/09/2018
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary Put Option
ZAR 0.0002 Call
Ordinary Option
ZAR 0.0002 Put Option
Ordinary Call
ZAR 0.0002 Option
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
ZAR 0.0002
Ordinary
3. AGREEMENTS TO PURCHASE OR SELL ETC.
Full details should be given so that the nature of the interest or position
can be fully understood:
It is not necessary to provide details on a Supplemental Form (Open
Positions) with regard to contracts for differences ("CFDs") or spread
bets.
The currency of all prices and other monetary amounts should be stated.
The Panel`s Market Surveillance Unit is available for consultation in
relation to the Code`s dealing disclosure requirements on +44 (0)20 7638
0129.
The Code can be viewed on the Panel`s website at
www.thetakeoverpanel.org.uk.
Date: 25/08/2011 13:03:07 Supplied by www.sharenet.co.za
Produced by the JSE SENS Department.
The SENS service is an information dissemination service administered by the
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implicitly, represent, warrant or in any way guarantee the truth, accuracy or
completeness of the information published on SENS. The JSE, their officers,
employees and agents accept no liability for (or in respect of) any direct,
indirect, incidental or consequential loss or damage of any kind or nature,
howsoever arising, from the use of SENS or the use of, or reliance on,
information disseminated through SENS.