t
Morgan Stanley & Co. International plc, an exempt principal trader connected to Energy Capital Partners, LLC and Kohlberg Kravis Roberts & Co. L.P., disclosed dealings in DCC Plc's 0.25 ordinary shares on 07 May 2026. The firm purchased 83,283 shares for GBP 57.4443-58.0808 and 3,640 shares for USD 78.3072-78.5074, while selling 103,575 shares for GBP 57.4400-58.0710 and 398 shares for USD 78.3072. Additionally, Morgan Stanley undertook multiple cash-settled derivative transactions (CFDs) in DCC Plc ordinary shares, involving increasing and reducing long and short positions, at prices between GBP 57.4400 and GBP 58.0808.
| Date | 11 May 2026 |
| Time | 14:13:09 |
| Category | Miscellaneous |
| ID | 8431D |
AMENDMENT(2(a), 2(b))
FORM 38.5(a) (EPT/RI)
IRISH TAKEOVER PANEL
DEALING DISCLOSURE UNDER RULE 38.5(a) OF THE IRISH
TAKEOVER PANEL ACT, 1997, TAKEOVER RULES, 2022
BY A CONNECTED EXEMPT PRINCIPAL TRADER WITH
RECOGNISED INTERMEDIARY STATUS AND DEALING IN
A CLIENT-SERVING CAPACITY
1. KEY INFORMATION
|
(a) Name of exempt principal trader: |
Morgan Stanley & Co. International plc |
|
(b) Name of offeror/offeree in relation to whose relevant securities this form relates: Use a separate form for each offeror/offeree |
DCC Plc |
|
(c) Name of the party to the offer with which exempt principal trader is connected: (Note 1) |
Energy Capital Partners, LLC and Kohlberg Kravis Roberts & Co. L.P |
|
(d) Date dealing undertaken: |
07 May 2026 |
|
(e) In addition to the company in 1(b) above, is the exempt principal trader also making disclosures in respect of any other party to the offer? If it is a cash offer or possible cash offer, state "N/A" |
N/A |
2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER (Note 2)
Where there have been dealings in more than one class of relevant securities of the offeror or offeree named in 1(b), copy table 2(a), (b), (c) or (d) (as appropriate) for each additional class of relevant security dealt in.
The currency of all prices and other monetary amounts should be stated.
(a) Purchases and sales
|
Class of |
Purchases/ |
Total |
Highest |
Lowest |
|
0.25 ordinary shares |
PURCHASES |
83,283 |
58.0808 GBP |
57.4443 GBP |
|
0.25 ordinary shares |
PURCHASES |
3,640 |
78.5074 USD |
78.3072 USD |
|
0.25 ordinary shares |
SALES |
103,575 |
58.0710 GBP |
57.4400 GBP |
|
0.25 ordinary shares |
SALES |
398 |
78.3072 USD |
78.3072 USD |
(b) Cash-settled derivative transactions
|
Class of |
Product |
Nature of dealing |
Number of |
Price per |
|
0.25 ordinary shares |
CFD |
increasing a long position |
2 |
57.4400 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
819 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
158 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
124 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
387 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
115,998 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
12,779 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
272 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
82 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
2 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
7,968 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
19 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
3,762 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
115,998 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
16 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
16 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
7,968 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
1,934 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
18 |
57.4500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
51 |
57.4512 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
2,173 |
57.4534 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
1,727 |
57.4589 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
602 |
57.4589 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
965 |
57.4589 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
381 |
57.4589 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
238 |
57.4589 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
381 |
57.4621 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
373 |
57.4621 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
1,074 |
57.4979 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
200 |
57.5244 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
1,549 |
57.5266 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
300 |
57.5443 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
293 |
57.5518 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
308 |
57.5838 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
846 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
512 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
257 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
581 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
1,404 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
2,771 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
347 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
365 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
381 |
57.5839 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
2,006 |
57.5890 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
139 |
57.5990 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
553 |
57.6091 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
883 |
57.6143 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
5 |
57.6143 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
75 |
57.6233 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
31 |
57.6294 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
1,819 |
57.6318 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
65 |
57.6318 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
226 |
57.6387 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
45 |
57.6500 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
170 |
57.6500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
3,242 |
57.6527 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
1,241 |
57.6612 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
594 |
57.6728 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
5 |
57.6800 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
60 |
57.7276 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
98 |
57.7307 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
131 |
57.7398 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
17 |
57.7465 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
200 |
57.7476 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
35 |
57.7483 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
5 |
57.7500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
93 |
57.7508 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
7,852 |
57.7629 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
526 |
57.7703 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
65 |
57.7726 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
1,889 |
57.7747 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
5,546 |
57.7914 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
62 |
57.8059 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
26 |
57.8065 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
702 |
57.8128 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
247 |
57.8170 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
95 |
57.8250 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
2,233 |
57.8293 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
137 |
57.8321 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
663 |
57.8347 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
157 |
57.8478 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
569 |
57.8478 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
157 |
57.8487 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
62 |
57.8500 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
3,908 |
57.8596 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
49 |
57.8596 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
1,940 |
57.8737 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
44 |
57.8823 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
24 |
57.8875 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
120 |
57.8923 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
54 |
57.9465 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
1,200 |
57.9469 GBP |
|
0.25 ordinary shares |
CFD |
increasing a short position |
4 |
58.0008 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
49 |
58.0251 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
428 |
58.0354 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
44 |
58.0548 GBP |
|
0.25 ordinary shares |
CFD |
increasing a long position |
158 |
58.0548 GBP |
|
0.25 ordinary shares |
CFD |
reducing a short position |
93 |
58.0710 GBP |
|
0.25 ordinary shares |
CFD |
reducing a long position |
157 |
58.0808 GBP |
(c) Stock-settled derivative transactions (including options)
(i) Writing, selling, purchasing or varying
|
Class of |
Product |
Writing, |
Number |
Exercise |
Type |
Expiry |
Option |
|
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
(ii) Exercise
|
Class of |
Product |
Exercising/ |
Number of |
Exercise price |
|
N/A |
N/A |
N/A |
N/A |
N/A |
(d) Other dealings (including transactions in respect of new securities)
|
Class of relevant security |
Nature of |
Details |
Price per unit |
|
N/A |
N/A |
N/A |
N/A |
3. 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 exempt principal trader making the disclosure and any party to the offer or any person acting in concert with a party to the offer:
Irrevocable commitments and letters of intent should not be included. If there are no such agreements, arrangements or understandings, state "none" |
|
NONE |
(b) 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: |
11 May 2026 |
|
Contact name: |
Claire Gordon |
|
Telephone number: |
+44 141 245-8893 |
Public disclosures under Rule 38 of the Rules must be made to a Regulatory Information Service.