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Goldman Sachs International, an exempt principal trader, filed a Rule 38.5(a) disclosure on May 15, 2026, detailing dealings in DCC PLC's EUR 0.25 ordinary shares on May 14, 2026. On that date, Goldman Sachs International acquired 82,226 shares at prices ranging from 58.2000 GBP to 59.5536 GBP, and disposed of 90,706 shares at prices ranging from 58.2000 GBP to 59.5500 GBP. Additionally, the firm engaged in numerous Contracts for Difference (CFD) transactions related to DCC PLC shares, including increasing/reducing long and short positions and opening short positions.
| Date | 15 May 2026 |
| Time | 11:35:36 |
| Category | Miscellaneous |
| ID | 5619E |
|
Name of exempt principal trader |
(GS) GOLDMAN SACHS INTERNATIONAL |
|
Company dealt in |
DCC PLC |
|
Class of relevant security to which the dealings being disclosed relate (Note1) |
EUR 0.25 ordinary shares |
|
Date of dealing |
14 May 2026 |
2. DEALINGS (Note 2)
|
Total number of relevant securities acquired |
Highest price paid (Note 3) |
Lowest price paid (Note 3) |
|
82,226 |
59.5536 GBP |
58.2000 GBP |
|
Total number of relevant securities disposed |
Highest price received (Note 3) |
Lowest price received (Note 3) |
|
90,706 |
59.5500 GBP |
58.2000 GBP |
|
Product name, e.g. CFD |
Nature of transaction (Note 4) |
Number of relevant securities (Note 5) |
Price per unit (Note 3) |
|
CFD |
Reducing a long position |
1 |
58.2000 GBP |
|
CFD |
Increasing a long position |
1,701 |
58.5664 GBP |
|
CFD |
Increasing a long position |
8 |
58.6362 GBP |
|
CFD |
Increasing a long position |
1 |
58.6500 GBP |
|
CFD |
Increasing a short position |
2,528 |
58.6647 GBP |
|
CFD |
Reducing a long position |
317 |
58.6733 GBP |
|
CFD |
Reducing a long position |
171 |
58.7419 GBP |
|
CFD |
Reducing a short position |
57 |
58.8982 GBP |
|
CFD |
Increasing a long position |
8,375 |
58.9204 GBP |
|
CFD |
Reducing a short position |
9 |
58.9441 GBP |
|
CFD |
Reducing a long position |
12 |
58.9517 GBP |
|
CFD |
Increasing a short position |
87 |
58.9701 GBP |
|
CFD |
Increasing a short position |
1,014 |
59.0110 GBP |
|
CFD |
Reducing a long position |
71 |
59.0507 GBP |
|
CFD |
Increasing a long position |
457 |
59.0552 GBP |
|
CFD |
Increasing a long position |
1,230 |
59.0552 GBP |
|
CFD |
Increasing a long position |
1,391 |
59.1667 GBP |
|
CFD |
Opening a short position |
1,862 |
59.1668 GBP |
|
CFD |
Increasing a short position |
14 |
59.2071 GBP |
|
CFD |
Reducing a short position |
103 |
59.2642 GBP |
|
CFD |
Reducing a short position |
3,087 |
59.2642 GBP |
|
CFD |
Reducing a short position |
60 |
59.2642 GBP |
|
CFD |
Reducing a short position |
42 |
59.2642 GBP |
|
CFD |
Reducing a short position |
85 |
59.2642 GBP |
|
CFD |
Reducing a short position |
123 |
59.2642 GBP |
|
CFD |
Reducing a short position |
29 |
59.2642 GBP |
|
CFD |
Increasing a short position |
2,927 |
59.4211 GBP |
|
CFD |
Reducing a long position |
923 |
59.4518 GBP |
|
CFD |
Increasing a short position |
2 |
59.4637 GBP |
|
CFD |
Increasing a long position |
4 |
59.4750 GBP |
|
CFD |
Reducing a long position |
1 |
59.4750 GBP |
|
CFD |
Increasing a long position |
3,113 |
59.4891 GBP |
|
CFD |
Increasing a short position |
308 |
59.4929 GBP |
|
CFD |
Reducing a short position |
220 |
59.5400 GBP |
|
CFD |
Reducing a long position |
3,029 |
59.5489 GBP |
|
CFD |
Increasing a short position |
113 |
59.5500 GBP |
|
CFD |
Increasing a long position |
9 |
59.5500 GBP |
|
CFD |
Reducing a long position |
143 |
59.5500 GBP |
|
CFD |
Reducing a short position |
227 |
59.5500 GBP |
|
CFD |
Increasing a long position |
64 |
59.5500 GBP |
|
CFD |
Increasing a long position |
48 |
59.5500 GBP |
|
CFD |
Reducing a long position |
53 |
59.5500 GBP |
|
CFD |
Increasing a short position |
201 |
59.5536 GBP |
|
Product name,e.g. call option |
Writing, selling, purchasing, varying etc. |
Number of securities to which the option relates (Note 5) |
Exercise price |
Type, e.g. American, European etc. |
Expiry date |
Option money paid/received per unit (Note 3) |
|
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|
|
|
|
|
|
|
Product name,e.g. call option |
Number of securities |
Exercise price per unit (Note 3) |
|
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|
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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 |
15 May 2026 |
|
Contact name |
Papa Lette and Andrzej Szyszka |
|
Telephone number |
+33(1) 4212 1459 / +48(22) 317 4817 |
|
Name of offeree/offeror with which connected |
ENERGY CAPITAL PARTNERS, LLC AND KOHLBERG KRAVIS ROBERTS & CO. L. P. (TOGETHER THE "CONSORTIUM") |
|
Nature of connection (Note 6) |
Advisor to Offeree |