Picture of Anglo American logo

AAL Anglo American News Story

0.000.00%
gb flag iconLast trade - 00:00
Basic MaterialsSpeculativeLarge CapNeutral

REG - BNP Paribas London Anglo American PLC - Form 8.3 - Anglo American Plc

For best results when printing this announcement, please click on link below:
http://newsfile.refinitiv.com/getnewsfile/v1/story?guid=urn:newsml:reuters.com:20240430:nRSd6891Ma&default-theme=true

RNS Number : 6891M  BNP Paribas London  30 April 2024

PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

MORE

Rule 8.3 of the Takeover Code (the "Code")

 

 1.  KEY INFORMATION

 

  (a)  Full name of discloser:                                                    BNP Paribas SA

  (b)  Owner or controller of interests and short positions disclosed, if
 different from 1(a):

        The naming of nominee or vehicle companies is insufficient. For a
 trust, the trustee(s), settlor and beneficiaries must be named.
  (c)  Name of offeror/offeree in relation to whose relevant securities this      Anglo American plc
 form relates:

        Use a separate form for each offeror/offeree
  (d)  If an exempt fund manager connected with an offeror/offeree, state
 this and specify identity of offeror/offeree:
  (e)  Date position held/dealing undertaken:                                     29/04/2024

        For an opening position disclosure, state the latest practicable
 date prior to the disclosure
  (f)  In addition to the company in 1(c) above, is the discloser making          Yes: BHP Group Limited
 disclosures in respect of any other party to the offer?

        If it is a cash offer or possible cash offer, state "N/A"

 

 2.  POSITIONS OF THE PERSON MAKING THE DISCLOSURE

 

 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.

 

 (a)  Interests and short positions in the relevant securities of the offeror or
      offeree to which the disclosure relates following the dealing (if any)

 

 Class of relevant security:  GB00B1XZS820 (USD 0.54945 ordinary), US03485P3001 (ADR)

 

      Interests  Short Positions

 

                                                                         Number                          %           Number                         %
   (1) Relevant securities owned and/or controlled:                                25,206,137               1.88              -21,175,364             -1.58
   (2) Cash-settled derivatives:                                                    2,945,259                .22               -6,483,457              -.48

   (3) Stock-settled derivatives (including options) and agreements to              3,275,000                .24               -1,601,900              -.12
 purchase/sell:
        TOTAL:                                                                     31,426,396               2.35              -29,260,721             -2.19

 

 All interests and all short positions should be disclosed.

 

 Details of any open stock-settled derivative positions (including traded
 options), or agreements to purchase or sell relevant securities, should be
 given on a Supplemental Form 8 (Open Positions).

 

 (b)  Rights to subscribe for new securities (including directors'' and other
      employee options)

 

 Class of relevant security in relation to which subscription right exists:
 Details, including nature of the rights concerned and relevant percentages:

 

 3.  DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

 

 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.

 

 The currency of all prices and other monetary amounts should be stated.

 

 (a)  Purchases and sales

 

 Class of relevant  Purchase/sale  Number of                              Price per unit

 security                          securities
 GB00B1XZS820       Purchase                      2,087                                 27.5000 GBP
 GB00B1XZS820       Sale                           -118                                 27.5000 GBP
 GB00B1XZS820       Sale                        -10,418                                 27.5000 GBP
 GB00B1XZS820       Purchase                      6,531                                 27.5000 GBP
 GB00B1XZS820       Sale                         -7,011                                 27.5000 GBP
 GB00B1XZS820       Sale                        -26,022                                 27.5000 GBP
 GB00B1XZS820       Sale                            -18                                 27.5000 GBP
 GB00B1XZS820       Purchase                        503                                 27.5000 GBP
 GB00B1XZS820       Sale                       -419,682                                 27.5000 GBP
 GB00B1XZS820       Purchase                      1,076                                 27.5000 GBP
 GB00B1XZS820       Purchase                    111,880                                 27.5000 GBP
 GB00B1XZS820       Purchase                        211                                 27.5000 GBP
 GB00B1XZS820       Purchase                     10,046                                 27.5000 GBP
 GB00B1XZS820       Sale                         -3,838                                 27.5000 GBP
 GB00B1XZS820       Purchase                        185                                 27.5000 GBP
 GB00B1XZS820       Sale                         -3,414                                 27.5000 GBP
 GB00B1XZS820       Purchase                        247                                 27.5000 GBP
 GB00B1XZS820       Purchase                        502                                 27.5000 GBP
 GB00B1XZS820       Purchase                         15                                 27.5000 GBP
 GB00B1XZS820       Purchase                        320                                 27.5000 GBP
 GB00B1XZS820       Purchase                        325                                 27.5000 GBP
 GB00B1XZS820       Sale                         -1,504                                 27.5000 GBP
 GB00B1XZS820       Purchase                        992                                 27.5000 GBP
 GB00B1XZS820       Purchase                         47                                 27.5000 GBP
 GB00B1XZS820       Sale                           -150                                 27.5000 GBP
 GB00B1XZS820       Sale                       -144,314                                 27.5000 GBP
 GB00B1XZS820       Purchase                     17,100                                 27.5000 GBP
 GB00B1XZS820       Sale                        -14,056                                 27.5000 GBP
 GB00B1XZS820       Sale                        -60,887                                 27.5000 GBP
 GB00B1XZS820       Purchase                     30,614                                 27.5000 GBP
 GB00B1XZS820       Purchase                        408                                 27.5000 GBP

 

 (b)  Cash-settled derivative transactions

 

 Class of      Product                  Nature of dealing         Number of                             Price per

 relevant      description              e.g. opening/closing a    references                            unit

 security      e.g. CFD                 long/short position       securities

                                        increasing/reducing a

                                        long/short position
 GB00B1XZS820  Contract for Difference  Opening Short Position                -111,880                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Increasing Long Position                   823                               640.6600 ZAR
 GB00B1XZS820  Contract for Difference  Reducing Long Position                    -823                               640.6600 ZAR
 GB00B1XZS820  Contract for Difference  Reducing Long Position                 -30,614                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  7,914                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 76,428                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 12,948                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  1,391                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  4,832                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 10,262                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  5,849                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 14,159                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 67,009                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 14,228                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 31,047                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  8,680                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  4,215                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 92,383                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 12,495                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 19,804                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 13,103                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  2,713                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                  5,574                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 14,648                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                144,314                                27.5000 GBP
 GB00B1XZS820  Contract for Difference  Reducing Short Position                 14,056                                27.5000 GBP

 

 (c)  Stock-settled derivative transactions (including options)

 

 (i)  Writing, selling, purchasing or varying

 

 Class      Product       Writing,       Number       Exercise   Type       Expiry  Option

 of         description   purchasing,    of           price      e.g.       date    money

 relevant   e.g. call     selling,       securities   per unit   American           paid/

 security   option        varying etc.   to which                European           received

                                         option                  etc.               per unit

                                         relates

 

 (ii)  Exercise

 

 Class of   Product            Exercising/  Number of    Exercise price

 relevant   description        exercised    securities   per unit

 security   e.g. call option   against

 

 (d)  Other dealings (including subscribing for new securities)

 

 Class of relevant  Nature of dealing               Details  Price per unit (if

 security           e.g. subscription, conversion            applicable)

 

 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 person
 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"

 

 (b)  Indemnity and other dealing arrangements

 

 Details of any agreement, arrangement or understanding, formal or informal,
 between the person 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"

 

 (c)  Attachments

 

 Is a supplemental Form 8 (Open Positions) attached?  Yes

 

 

 Date of Disclosure:       30/04/2024

 Contact Name              Compliance Control Room

 Telephone Number:         0207 595 9695

 

 Public disclosures under Rule 8 of the Code must be made to a Regulatory
 Information Service.

 

 The Panel's Market Surveillance Unit is available for consultation in relation
 to the Code's disclosure requirements on +44 (0)20 7638 0129.

 

 *If the discloser is a natural person, a telephone number does not need to be
 included, provided contact information has been provided to the Panel's Market
 Surveillance Unit.

 

 The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk
 (http://www.thetakeoverpanel.org.uk)

 

 

 

 

 

DETAILS OF OPEN STOCK-SETTLED DERIVATIVE (INCLUDING OPTION) POSITIONS,

AGREEMENTS TO PURCHASE OR SELL ETC.

Note 5(i) on Rule 8 of the Takeover Code (the "Code")

 

 1.  KEY INFORMATION

 

  Full name of person making disclosure:         BNP Paribas SA

  Name of offeror/offeree in relation to whose   Anglo American plc

  relevant securities the disclosure relates:

 

 2.  STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)

 

 Class of                             Product       Written or  Number of    Exercise   Type        Expiry

 relevant                             description   purchased   securities   price      e.g.        date

 security                             e.g. call                 to which     per unit   American,

                                      option                    option or               European

                                                                derivative              etc.

                                                                relates
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   P           125000       27.5       american    20/06/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           38000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   P           50000        27.5       american    17/05/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   W           -450000      27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   P           50000        27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   P           325000       27.5       american    20/09/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   W           -180000      27.5       american    19/12/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   W           -50000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   W           -50000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           37000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           250000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           150000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -24000       27.5       american    20/06/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -9000        27.5       american    19/12/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -9000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -9000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -9000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -40000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -26000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           300000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -20000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -8900        19.18875   european    26/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -325000      27.5       american    20/09/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           300000       27.5       american    16/08/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -50000       27.5       american    20/06/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -50000       27.5       american    17/05/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           200000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           500000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -132000      27.5       american    17/05/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -36000       27.5       american    21/06/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -1000        27.5       american    20/09/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -9000        27.5       american    20/06/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    P           -64000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           150000       16         american    18/12/2026
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           400000       27.5       american    20/06/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           200000       27.5       american    19/12/2025
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           150000       27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Put Option    W           50000        27.5       american    20/12/2024
 USD 0.54945 ordinary (GB00B1XZS820)  Call Option   W           -50000       27.5       american    20/12/2024

 

 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 cash-settled derivatives.

 

 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 disclosure requirements on +44 (0)20 7638 0129.

 

 The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk
 (http://www.thetakeoverpanel.org.uk)

 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact
rns@lseg.com (mailto:rns@lseg.com)
 or visit
www.rns.com (http://www.rns.com/)
.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our
Privacy Policy (https://www.lseg.com/privacy-and-cookie-policy)
.   END  RETFZGFDVGGGDZM

Recent news on Anglo American

See all news