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REG - Barclays PLC Homeserve Plc - Form 8.3 - HomeServe plc

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RNS Number : 5305E  Barclays PLC  28 October 2022

 FORM 8.3
 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:                                                                    Barclays PLC.
 (b)              Owner or controller of interest and short
                  positions disclosed, if different from 1(a):
 (c)              Name of offeror/offeree in relation to whose                                               HOMESERVE PLC
                  relevant securities this form relates:
 (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:                                                     27 Oct 2022
 (f)              In addition to the company in 1(c) above, is the discloser making                          NO
                  disclosures in respect of any other party to the 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(if any)
 Class of relevant security:                                                              2 9/13p ordinary
                                                                                          Interests                           Short Positions
                                                                                          Number             (%)              Number         (%)
 (1)              Relevant securities owned
                  and/or controlled:                                                      10,165,005         3.02%            2,405,538      0.71%
 (2)              Cash-settled derivatives:
                  and/or controlled:                                                      2,173,316          0.65%            8,542,172      2.54%
 (3)              Stock-settled derivatives (including options)
                  and agreements to purchase/sell:                                        0                  0.00%            0              0.00%

                  TOTAL:                                                                  12,338,321         3.66%            10,947,710     3.25%
 (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:
 3.                                                                                       DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER
 (a)              Purchases and sales
 Class of relevant                                  Purchase/sale                         Number of                           Price per unit
 security                                                                                 securities
 2 9/13p ordinary                                   Purchase                              42                                  11.8600  GBP
 2 9/13p ordinary                                   Purchase                              864                                 11.8719  GBP
 2 9/13p ordinary                                   Purchase                              4,939                               11.8777  GBP
 2 9/13p ordinary                                   Purchase                              7,000                               11.8608  GBP
 2 9/13p ordinary                                   Purchase                              11,732                              11.8693  GBP
 2 9/13p ordinary                                   Purchase                              13,519                              11.8677  GBP
 2 9/13p ordinary                                   Purchase                              14,638                              11.8594  GBP
 2 9/13p ordinary                                   Purchase                              26,246                              11.8700  GBP
 2 9/13p ordinary                                   Purchase                              144,657                             11.8643  GBP
 2 9/13p ordinary                                   Sale                                  1,000                               11.8808  GBP
 2 9/13p ordinary                                   Sale                                  5,775                               11.8700  GBP
 2 9/13p ordinary                                   Sale                                  6,467                               11.8609  GBP
 2 9/13p ordinary                                   Sale                                  10,272                              11.8658  GBP
 2 9/13p ordinary                                   Sale                                  12,521                              11.8650  GBP
 2 9/13p ordinary                                   Sale                                  16,124                              11.8600  GBP
 2 9/13p ordinary                                   Sale                                  21,691                              11.8683  GBP

 (b)              Cash-settled derivative transactions
 Class of                                           Product                               Nature of dealing                   Number of      Price per
 relevant                                           description                                                               reference      unit
 security                                                                                                                     securities
 2 9/13p ordinary                                   SWAP                                  Long                                28,110         11.8691  GBP
 2 9/13p ordinary                                   SWAP                                  Long                                29,563         11.8629  GBP
 2 9/13p ordinary                                   CFD                                   Short                               864            11.8719  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               1,944          11.8600  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               5,000          11.8733  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               7,000          11.8608  GBP
 2 9/13p ordinary                                   CFD                                   Short                               16,054         11.8692  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               21,110         11.8736  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               29,699         11.8618  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               47,226         11.8688  GBP
 2 9/13p ordinary                                   SWAP                                  Short                               74,121         11.8620  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                               date           money
 relevant                                           selling,           securities         per unit                                           paid/
 security                                           varying etc        to which                                                              received
                                                                       option                                                                per unit
                                                                       relates

 (ii)             Exercising
 Class of relevant                                  Product description                   Exercising/ exercised against       Number of      Exercise price per
 security                                                                                                                     securities     unit

 (d)              Other dealings (including subscribing for new securities)
 Class of relevant                                  Nature of Dealings                    Details                             Price per unit (if
 security                                                                                                                     applicable)

 4.                                                                                       OTHER INFORMATION
 (a)              Indemnity and other dealings 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:
 NONE
 (b)              Agreements, arrangements or understandings relating to options or derivatives
 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 of future acquisition or disposal of any relevant
 securities to which
 any derivative is referenced:
 NONE
 (c)              Attachments
 Is a Supplemental Form 8 (Open Positions) attached?                                      NO
 Date of disclosure:                                                                      28 Oct 2022
 Contact name:                                                                            Large Holdings Regulatory Operations
 Telephone number:                                                                        020 3134 7213

 

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