t
Barclays Capital Securities Ltd reported its dealings and positions in 0.01p ordinary shares of Countryside Partnerships plc on July 27, 2022. The firm purchased 272,962 shares and sold 156,535 shares of Countryside Partnerships plc. Following these transactions, Barclays Capital Securities Ltd held a total long position of 11,657,844 shares (2.33%) and a total short position of 10,551,531 shares (2.11%).
| Date | 28 Jul 2022 |
| Time | 10:01:25 |
| Category | Holding(s) in company |
| ID | 0738U |
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FORM 8.5 (EPT/NON-RI) |
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PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY AN |
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EXEMPT PRINCIPAL TRADER WITHOUT RECOGNISED INTERMEDIARY ("RI") STATUS |
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(OR WHERE RI STATUS IS NOT APPLICABLE) |
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Rule 8.5 of the Takeover Code (the "Code") |
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1. |
KEY INFORMATION |
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(a) |
Name of exempt principal trader: |
BARCLAYS CAPITAL SECURITIES LTD |
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(b) |
Name of offeror/offeree in relation to whose |
COUNTRYSIDE PARTNERSHIPS PLC |
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relevant securities this form relates: |
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(c) |
Name of the party to the offer with which exempt |
Countryside Partnerships plc |
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principal trader is connected |
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(d) |
Date position held/dealing undertaken: |
27 July 2022 |
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(e) |
In addition to the company in 1(b) above, is the exempt principal |
NO |
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trader making disclosures in respect of any other party to the offer? |
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2. |
POSITIONS OF THE EXEMPT PRINCIPAL TRADER |
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(a) |
Interests and short positions in the relevant securities of the offeror or offeree |
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to which the disclosure relates following the dealing (if any) |
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Class of relevant security: |
0.01p ordinary |
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Interests |
Short Positions |
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Number |
(%) |
Number |
(%) |
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(1) |
Relevant securities owned |
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and/or controlled: |
394,696 |
0.08% |
10,167,387 |
2.04% |
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(2) |
Cash-settled derivatives: |
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11,263,148 |
2.26% |
384,144 |
0.08% |
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(3) |
Stock-settled derivatives (including options) |
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and agreements to purchase/sell: |
0 |
0.00% |
0 |
0.00% |
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TOTAL: |
11,657,844 |
2.33% |
10,551,531 |
2.11% |
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(b) |
Rights to subscribe for new securities (including directors and other executive |
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options) |
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Class of relevant security in relation to |
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which subscription right exists |
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Details, including nature of the rights |
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concerned and relevant percentages: |
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3. |
DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER |
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(a) |
Purchases and sales |
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Class of relevant |
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Purchase/sale |
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Total number of |
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Highest price per unit |
Lowest price per unit |
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security |
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securities |
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paid/received |
paid/received |
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0.01p ordinary |
Purchase |
272,962 |
2.7584 GBP |
2.7039 GBP |
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0.01p ordinary |
Sale |
156,535 |
2.7528 GBP |
2.7374 GBP |
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(b) |
Cash-settled derivative transactions |
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Class of |
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Product |
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Nature of dealing |
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Number of |
Price per |
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relevant |
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description |
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reference |
unit |
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security |
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securities |
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0.01p ordinary |
CFD |
Decreasing Long |
5,013 |
2.7571 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
6,327 |
2.7468 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
11,411 |
2.7400 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
12,190 |
2.7480 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
13,079 |
2.7500 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
34,782 |
2.7396 GBP |
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0.01p ordinary |
SWAP |
Decreasing Long |
46,000 |
2.7584 GBP |
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0.01p ordinary |
CFD |
Decreasing Long |
100,172 |
2.7467 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
629 |
2.7399 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
778 |
2.7749 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
3,073 |
2.7553 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
5,844 |
2.7515 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
21,666 |
2.7504 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
23,080 |
2.7461 GBP |
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0.01p ordinary |
SWAP |
Increasing Long |
31,091 |
2.7479 GBP |
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0.01p ordinary |
SWAP |
Increasing Short |
11 |
2.7227 GBP |
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0.01p ordinary |
SWAP |
Increasing Short |
78 |
2.7040 GBP |
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0.01p ordinary |
SWAP |
Increasing Short |
300 |
2.7366 GBP |
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0.01p ordinary |
SWAP |
Increasing Short |
1,629 |
2.7420 GBP |
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0.01p ordinary |
SWAP |
Increasing Short |
15,964 |
2.7544 GBP |
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(c) |
Stock-settled derivative transactions (including options) |
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(i) |
Writing, selling, purchasing or varying |
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Class |
Product |
Writing, |
Number |
Exercise |
Type |
Expiry |
Option |
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of |
description |
purchasing, |
of |
price |
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date |
money |
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relevant |
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selling, |
securities |
per unit |
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paid/ |
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security |
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varying etc |
to which |
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received |
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option |
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per unit |
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relates |
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(ii) |
Exercising |
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Class of relevant |
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Product description |
Exercising/ exercised against |
Number of |
Exercise price per |
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security |
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securities |
unit |
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(d) |
Other dealings (including subscribing for new securities) |
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Class of relevant |
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Nature of Dealings |
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Details |
Price per unit (if |
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security |
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applicable) |
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4. |
OTHER INFORMATION |
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(a) |
Indemnity and other dealings arrangements |
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Details of any indemnity or option arrangement, or any agreement or understanding, |
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formal or informal, relating to relevant securities which may be an inducement to deal |
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or refrain from dealing entered into by the exempt principal trader making the disclosure and any party |
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to the offer or any person acting in concert with a party to the offer: |
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NONE |
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(b) |
Agreements, arrangements or understandings relating to options or derivatives |
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Details of any agreement, arrangement or understanding, formal or informal, between |
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the exempt principal trader making the disclosure and any other person relating to: |
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(i) the voting rights of any relevant securities under any option; or |
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(ii) the voting rights of future acquisition or disposal of any relevant securities to which |
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any derivative is referenced: |
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NONE |
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(c) |
Attachments |
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Is a Supplemental Form 8 (Open Positions) attached? |
NO |
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Date of disclosure: |
28 Jul 2022 |
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Contact name: |
Large Holdings Regulatory Operations |
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Telephone number: |
020 3134 7213 |
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