REG - Morgan Stanley&CoLLC Barrick Gold Corp - Form 8.5 (EPT/RI) - Barrick Gold Corporation
RNS Number : 5309FMorgan Stanley & Co. LLC29 October 2018
FORM 8.5 (EPT/RI)
PUBLIC DEALING DISCLOSURE BY AN EXEMPT PRINCIPAL TRADER WITH RECOGNISED INTERMEDIARY STATUS DEALING IN A CLIENT-SERVING CAPACITY
Rule 8.5 of the Takeover Code (the "Code")
1. KEY INFORMATION
(a) Name of exempt principal trader:
Morgan Stanley & Co. LLC
(b) Name of offeror/offeree in relation to whose relevant securities this form relates:
Use a separate form for each offeror/offeree
Barrick Gold Corporation
(c) Name of the party to the offer with which exempt principal trader is connected:
Barrick Gold Corporation
(d) Date dealing undertaken:
26 OCTOBER 2018
(e) Has the EPT previously disclosed, or is it today disclosing, under the Code in respect of any other party to this offer?
Yes - Randgold Resources Limited
2. DEALINGS BY THE EXEMPT PRINCIPAL TRADER
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 relevant security
Purchases/sales
Total number of securities
Highest price per unit paid/received
Lowest price per unit paid/received
common
PURCHASES
80,220
17.3900 CAD
16.6000 CAD
common
SALES
65,270
17.3000 CAD
16.6000 CAD
common
PURCHASES
3,630,094
13.2700 USD
12.0000 USD
common
SALES
3,116,369
14.0000 USD
12.6500 USD
(b) Cash-settled derivative transactions
Class of relevant security
Product description
e.g. CFD
Nature of dealing
e.g. opening/closing a long/short position, increasing/reducing a long/short position
Number of reference securities
Price per unit
N/A
N/A
N/A
N/A
N/A
(c) Stock-settled derivative transactions (including options)
(i) Writing, selling, purchasing or varying
Class of relevant security
Product description e.g. call option
Writing, purchasing, selling, varying etc.
Number of securities to which option relates
Exercise price per unit
Type e.g. American, European etc.
Expiry date
Option money paid/ received per unit
common
CALL
PURCHASE
3,600
13.5000
A
26/10/2018
0.0100 USD
common
PUT
PURCHASE
200
13.0000
A
26/10/2018
0.0300 USD
common
CALL
PURCHASE
400
14.0000
A
02/11/2018
0.0400 USD
common
CALL
PURCHASE
1,100
14.0000
A
02/11/2018
0.0400 USD
common
CALL
PURCHASE
16,100
14.0000
A
02/11/2018
0.0400 USD
common
CALL
PURCHASE
200
14.0000
A
02/11/2018
0.0400 USD
common
PUT
PURCHASE
2,000
12.5000
A
02/11/2018
0.0800 USD
common
PUT
PURCHASE
800
12.5000
A
02/11/2018
0.0800 USD
common
CALL
PURCHASE
1,900
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
1,100
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
5,000
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
3,200
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
21,500
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
100
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
14,400
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
15,000
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
900
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
600
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
1,500
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
1,700
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
300
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
3,000
13.0000
A
26/10/2018
0.0900 USD
common
CALL
PURCHASE
100
16.0000
A
21/12/2018
0.1000 USD
common
CALL
PURCHASE
100
13.5000
A
02/11/2018
0.1000 USD
common
PUT
PURCHASE
2,000
12.0000
A
09/11/2018
0.1200 USD
common
PUT
PURCHASE
100
12.0000
A
09/11/2018
0.1200 USD
common
PUT
PURCHASE
1,900
12.0000
A
16/11/2018
0.1200 USD
common
CALL
PURCHASE
100
16.0000
A
18/01/2019
0.1500 USD
common
CALL
PURCHASE
1,500
15.0000
A
21/12/2018
0.1900 USD
common
CALL
PURCHASE
100
13.0000
A
02/11/2018
0.2100 USD
common
CALL
PURCHASE
200
13.0000
A
02/11/2018
0.2100 USD
common
CALL
PURCHASE
2,000
13.0000
A
02/11/2018
0.2300 USD
common
PUT
PURCHASE
200
12.5000
A
16/11/2018
0.2300 USD
common
CALL
PURCHASE
700
13.5000
A
16/11/2018
0.2300 USD
common
PUT
PURCHASE
2,000
13.0000
A
02/11/2018
0.2400 USD
common
PUT
PURCHASE
2,200
13.0000
A
02/11/2018
0.2500 USD
common
PUT
PURCHASE
2,200
13.0000
A
02/11/2018
0.3200 USD
common
CALL
PURCHASE
500
13.0000
A
02/11/2018
0.3300 USD
common
CALL
PURCHASE
900
13.0000
A
16/11/2018
0.3800 USD
common
PUT
PURCHASE
200
13.0000
A
16/11/2018
0.4100 USD
common
CALL
PURCHASE
4,000
13.0000
A
02/11/2018
0.4300 USD
common
PUT
PURCHASE
1,100
13.0000
A
09/11/2018
0.4400 USD
common
PUT
PURCHASE
1,300
13.0000
A
09/11/2018
0.4400 USD
common
CALL
PURCHASE
100
14.0000
A
18/01/2019
0.5300 USD
common
CALL
PURCHASE
200
14.0000
A
18/01/2019
0.5300 USD
common
CALL
PURCHASE
400
15.0000
A
18/04/2019
0.5600 USD
common
CALL
PURCHASE
100
13.0000
A
21/12/2018
0.8100 USD
common
PUT
PURCHASE
3,000
13.0000
A
18/01/2019
0.8200 USD
common
PUT
PURCHASE
500
13.0000
A
18/01/2019
0.8400 USD
common
PUT
PURCHASE
500
13.0000
A
21/12/2018
0.8600 USD
common
PUT
PURCHASE
200
10.0000
A
15/01/2021
0.8900 USD
common
PUT
PURCHASE
100
13.0000
A
18/01/2019
0.9200 USD
common
PUT
PURCHASE
100
13.0000
A
18/01/2019
0.9400 USD
common
CALL
PURCHASE
4,000
13.0000
A
18/01/2019
1.0100 USD
common
PUT
PURCHASE
400
14.0000
A
16/11/2018
1.1600 USD
common
CALL
PURCHASE
100
13.0000
A
18/04/2019
1.2100 USD
common
CALL
PURCHASE
2,200
12.0000
A
09/11/2018
1.2800 USD
common
PUT
PURCHASE
2,000
14.0000
A
16/11/2018
1.2900 USD
common
PUT
PURCHASE
2,000
14.0000
A
16/11/2018
1.2900 USD
common
CALL
PURCHASE
200
12.0000
A
18/01/2019
1.5500 USD
common
PUT
PURCHASE
100
14.0000
A
18/04/2019
1.7400 USD
common
CALL
PURCHASE
300
10.0000
A
18/04/2019
3.2500 USD
common
CALL
PURCHASE
200
10.0000
A
18/04/2019
3.2500 USD
common
CALL
PURCHASE
100
10.0000
A
17/01/2020
3.6700 USD
common
CALL
SALE
1,900
20.0000
A
18/01/2019
0.0400 USD
common
CALL
SALE
2,100
20.0000
A
18/01/2019
0.0400 USD
common
CALL
SALE
1,900
20.0000
A
18/01/2019
0.0400 USD
common
CALL
SALE
1,000
20.0000
A
18/01/2019
0.0400 USD
common
CALL
SALE
500
20.0000
A
18/01/2019
0.0400 USD
common
CALL
SALE
500
20.0000
A
18/01/2019
0.0400 USD
common
PUT
SALE
1,000
13.0000
A
26/10/2018
0.0400 USD
common
CALL
SALE
500
15.0000
A
09/11/2018
0.0400 USD
common
CALL
SALE
1,800
16.0000
A
30/11/2018
0.0500 USD
common
CALL
SALE
1,700
16.0000
A
30/11/2018
0.0500 USD
common
CALL
SALE
1,200
20.0000
A
18/01/2019
0.0500 USD
common
CALL
SALE
1,000
15.0000
A
16/11/2018
0.0600 USD
common
CALL
SALE
13,700
15.0000
A
16/11/2018
0.0600 USD
common
CALL
SALE
100
17.0000
A
21/12/2018
0.0600 USD
common
PUT
SALE
100
10.0000
A
18/01/2019
0.0800 USD
common
PUT
SALE
500
10.0000
A
18/01/2019
0.0800 USD
common
CALL
SALE
200
13.5000
A
02/11/2018
0.0900 USD
common
PUT
SALE
1,000
12.0000
A
09/11/2018
0.1100 USD
common
PUT
SALE
1,000
12.0000
A
09/11/2018
0.1100 USD
common
PUT
SALE
100
13.0000
A
26/10/2018
0.1100 USD
common
PUT
SALE
100
11.0000
A
21/12/2018
0.1300 USD
common
PUT
SALE
100
11.0000
A
21/12/2018
0.1300 USD
common
PUT
SALE
500
12.5000
A
02/11/2018
0.1300 USD
common
PUT
SALE
100
12.5000
A
02/11/2018
0.1300 USD
common
CALL
SALE
2,000
13.0000
A
26/10/2018
0.1400 USD
common
PUT
SALE
2,700
12.0000
A
16/11/2018
0.1600 USD
common
PUT
SALE
300
12.0000
A
16/11/2018
0.1600 USD
common
PUT
SALE
100
12.0000
A
16/11/2018
0.1700 USD
common
PUT
SALE
400
13.0000
A
26/10/2018
0.1700 USD
common
PUT
SALE
1,100
13.0000
A
26/10/2018
0.1700 USD
common
PUT
SALE
1,300
13.0000
A
26/10/2018
0.1800 USD
common
PUT
SALE
300
11.0000
A
18/01/2019
0.1800 USD
common
PUT
SALE
600
11.0000
A
18/01/2019
0.1900 USD
common
PUT
SALE
200
12.0000
A
16/11/2018
0.2000 USD
common
PUT
SALE
1,800
12.0000
A
16/11/2018
0.2100 USD
common
CALL
SALE
100
15.0000
A
21/12/2018
0.2400 USD
common
CALL
SALE
100
14.0000
A
30/11/2018
0.2500 USD
common
CALL
SALE
1,000
13.0000
A
02/11/2018
0.2500 USD
common
CALL
SALE
100
15.0000
A
18/01/2019
0.2900 USD
common
CALL
SALE
200
13.5000
A
16/11/2018
0.3000 USD
common
PUT
SALE
600
12.5000
A
16/11/2018
0.3300 USD
common
PUT
SALE
1,400
12.5000
A
16/11/2018
0.3300 USD
common
CALL
SALE
300
13.5000
A
16/11/2018
0.3700 USD
common
PUT
SALE
1,600
12.0000
A
21/12/2018
0.4000 USD
common
PUT
SALE
100
12.0000
A
21/12/2018
0.4000 USD
common
PUT
SALE
500
13.0000
A
09/11/2018
0.4400 USD
common
CALL
SALE
400
13.0000
A
16/11/2018
0.4800 USD
common
PUT
SALE
1,900
12.0000
A
18/01/2019
0.4800 USD
common
PUT
SALE
4,600
12.0000
A
18/01/2019
0.4800 USD
common
PUT
SALE
600
12.0000
A
18/01/2019
0.4800 USD
common
CALL
SALE
200
13.0000
A
09/11/2018
0.5300 USD
common
CALL
SALE
1,000
14.0000
A
18/01/2019
0.5800 USD
common
CALL
SALE
100
14.0000
A
18/01/2019
0.6000 USD
common
CALL
SALE
500
14.0000
A
18/01/2019
0.6000 USD
common
CALL
SALE
100
13.0000
A
07/12/2018
0.6000 USD
common
CALL
SALE
100
13.0000
A
07/12/2018
0.6000 USD
common
PUT
SALE
800
12.0000
A
18/04/2019
0.6800 USD
common
CALL
SALE
300
13.0000
A
18/01/2019
0.8100 USD
common
CALL
SALE
200
13.0000
A
18/01/2019
0.8700 USD
common
PUT
SALE
400
13.0000
A
18/01/2019
0.8800 USD
common
PUT
SALE
100
13.0000
A
18/01/2019
0.9400 USD
common
CALL
SALE
2,000
17.0000
A
17/01/2020
0.9700 USD
common
CALL
SALE
1,000
17.0000
A
17/01/2020
1.0000 USD
common
CALL
SALE
1,200
12.0000
A
02/11/2018
1.0100 USD
common
CALL
SALE
1,300
12.0000
A
02/11/2018
1.0100 USD
common
CALL
SALE
700
12.0000
A
16/11/2018
1.0300 USD
common
CALL
SALE
300
14.0000
A
18/04/2019
1.0500 USD
common
PUT
SALE
100
14.0000
A
21/12/2018
1.2300 USD
common
CALL
SALE
100
12.0000
A
21/12/2018
1.2700 USD
common
CALL
SALE
2,200
12.0000
A
30/11/2018
1.4100 USD
common
CALL
SALE
700
12.0000
A
18/01/2019
1.4500 USD
common
CALL
SALE
100
12.0000
A
18/04/2019
1.8000 USD
common
PUT
SALE
32,800
13.0000
A
17/01/2020
1.8400 USD
common
CALL
SALE
1,000
13.0000
A
17/01/2020
2.0300 USD
common
PUT
SALE
100
16.0000
A
18/01/2019
2.9700 USD
(ii) Exercise
Class of relevant security
Product description e.g. call option
Number of securities
Exercise price per unit
common
CALL
48,900
12.0000 USD
common
PUT
200
14.0000 USD
(d) Other dealings (including subscribing for new securities)
Class of relevant security
Nature of dealing e.g. subscription, conversion
Details
Price per unit (if applicable)
N/A
N/A
N/A
N/A
The currency of all prices and other monetary amounts should be stated.
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.
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:
If there are no such agreements, arrangements or understandings, state "none"
None
(b) Agreements, arrangements or understandings relating to options or derivatives
Details of any agreement, arrangement or understanding, formal or informal, between the exempt principal trader 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"
None
Date of disclosure:
29 OCTOBER 2018
Contact name:
Craig Horsley
Telephone number:
+44(141) 245 7736
Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service and must also be emailed to the Takeover Panel at monitoring@disclosure.org.uk. The Panel's Market Surveillance Unit is available for consultation in relation to the Code's dealing disclosure requirements on +44 (0)20 7638 0129.
The Code can be viewed on the Panel's website at 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 or visit www.rns.com.ENDFERLLFVIIILAFIT
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