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Form 8.3 - Qualcomm Incorporated
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: Millennium International Management LP
(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 form Qualcomm Incorporated
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: 19(th) May 2025
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, Alphawave IP Group plc
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: USD 0.0001 common (US7475251036)
Interests Short positions
Number % Number %
(1) Relevant securities owned and/or controlled: 1,089,174 0.100% 500,806 0.046%
(2) Cash-settled derivatives: 75,329 0.007% 558,260 0.051%
(3) Stock-settled derivatives (including options) and agreements to 1,200,400 0.110% 2,052,000 0.188%
purchase/sell:
2,364,903 0.217% 3,111,066 0.285%
TOTAL:
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 security Purchase/sale Number of securities Price per unit (USD)
US7475251036 Purchase 1,200 153.70
US7475251036 Purchase 50 153.55
US7475251036 Purchase 369 153.62
US7475251036 Purchase 914 152.39
US7475251036 Purchase 787 152.74
US7475251036 Purchase 60 151.73
US7475251036 Purchase 50 153.58
US7475251036 Purchase 1,373 153.42
US7475251036 Purchase 50 153.64
US7475251036 Purchase 36 151.15
US7475251036 Purchase 4 151.14
US7475251036 Purchase 30 151.21
US7475251036 Purchase 180 151.50
US7475251036 Purchase 30 152.07
US7475251036 Purchase 31 151.10
US7475251036 Purchase 40 151.09
US7475251036 Sale 23 153.70
US7475251036 Sale 10 153.32
US7475251036 Sale 170 153.48
US7475251036 Sale 100 153.40
US7475251036 Sale 100 153.26
US7475251036 Sale 428 153.45
US7475251036 Sale 340 153.67
US7475251036 Sale 1,579 153.49
US7475251036 Sale 1,000 151.48
US7475251036 Sale 100 153.55
US7475251036 Sale 1,124 153.31
US7475251036 Sale 2,948 152.80
US7475251036 Sale 460 153.51
US7475251036 Sale 100 150.52
US7475251036 Sale 300 151.23
US7475251036 Sale 840 153.44
US7475251036 Sale 2,375 152.87
US7475251036 Sale 8 152.46
US7475251036 Sale 49 152.74
US7475251036 Sale 100 152.81
US7475251036 Sale 100 153.54
US7475251036 Sale 50 152.95
US7475251036 Sale 549 153.38
US7475251036 Sale 50 153.48
US7475251036 Sale 1,451 153.39
US7475251036 Sale 100 153.61
US7475251036 Sale 100 152.64
US7475251036 Sale 237 153.43
US7475251036 Sale 200 153.47
US7475251036 Sale 203 153.52
US7475251036 Sale 570 153.27
US7475251036 Sale 189 153.59
US7475251036 Sale 16 153.63
US7475251036 Sale 400 152.11
US7475251036 Sale 108 153.35
US7475251036 Sale 200 153.40
US7475251036 Sale 1,000 153.50
US7475251036 Sale 50 153.20
US7475251036 Sale 100 152.49
US7475251036 Sale 100 150.56
US7475251036 Sale 4 153.64
US7475251036 Sale 150 153.34
US7475251036 Sale 299 152.57
US7475251036 Sale 350 153.30
US7475251036 Sale 100 153.37
US7475251036 Sale 2,222 153.41
US7475251036 Sale 300 152.58
US7475251036 Sale 13 151.96
US7475251036 Sale 211 152.73
US7475251036 Sale 350 153.28
US7475251036 Sale 300 152.17
US7475251036 Purchase 5,566 153.70
US7475251036 Sale 4,893 153.70
US7475251036 Purchase 977 151.93
US7475251036 Purchase 8 151.77
US7475251036 Sale 30 153.26
US7475251036 Sale 402 153.33
US7475251036 Sale 7 153.67
US7475251036 Sale 1,029 153.49
US7475251036 Sale 11 153.53
US7475251036 Purchase 2 151.42
US7475251036 Sale 224 153.55
US7475251036 Sale 56 153.36
US7475251036 Purchase 8 151.72
US7475251036 Sale 14 153.24
US7475251036 Sale 184 152.80
US7475251036 Purchase 163 151.67
US7475251036 Sale 367 153.51
US7475251036 Sale 33 153.25
US7475251036 Sale 12 153.02
US7475251036 Sale 371 153.44
US7475251036 Sale 1 152.87
US7475251036 Sale 2 152.60
US7475251036 Purchase 2 151.37
US7475251036 Purchase 38 151.73
US7475251036 Sale 18 153.32
US7475251036 Sale 1 152.79
US7475251036 Sale 20 153.54
US7475251036 Sale 1 152.68
US7475251036 Sale 210 153.48
US7475251036 Sale 15 153.43
US7475251036 Sale 171 153.60
US7475251036 Sale 105 153.47
US7475251036 Sale 37 153.52
US7475251036 Sale 329 153.58
US7475251036 Sale 1 153.59
US7475251036 Sale 4 153.40
US7475251036 Sale 83 153.50
US7475251036 Sale 9 153.20
US7475251036 Purchase 129 151.31
US7475251036 Purchase 9 152.49
US7475251036 Purchase 14 151.38
US7475251036 Sale 2 153.71
US7475251036 Sale 3,870 153.70
US7475251036 Purchase 10,396 151.29
US7475251036 Sale 1 153.26
US7475251036 Sale 6 153.56
US7475251036 Sale 26 153.30
US7475251036 Sale 5 153.37
US7475251036 Sale 17 153.23
US7475251036 Purchase 150 153.13
US7475251036 Purchase 310 153.13
US7475251036 Purchase 100 153.56
US7475251036 Purchase 1,700 153.44
US7475251036 Purchase 100 153.38
US7475251036 Purchase 300 153.59
US7475251036 Purchase 1,800 152.42
US7475251036 Purchase 10 153.74
US7475251036 Purchase 100 152.12
US7475251036 Sale 7,700 153.70
US7475251036 Sale 403 151.93
US7475251036 Sale 102 151.27
US7475251036 Sale 1,935 152.35
US7475251036 Sale 37 153.55
US7475251036 Purchase 133 153.31
US7475251036 Sale 2 153.31
US7475251036 Sale 168 153.62
US7475251036 Sale 60 153.51
US7475251036 Sale 4 153.44
US7475251036 Sale 245 151.51
US7475251036 Sale 67 152.08
US7475251036 Sale 6 152.47
US7475251036 Sale 7 153.38
US7475251036 Sale 22 153.48
US7475251036 Sale 24 153.61
US7475251036 Sale 200 152.16
US7475251036 Sale 4 153.43
US7475251036 Sale 50 150.71
US7475251036 Sale 31 153.60
US7475251036 Sale 11 153.47
US7475251036 Sale 164 151.25
US7475251036 Sale 159 151.63
US7475251036 Sale 5 153.63
US7475251036 Sale 163 152.09
US7475251036 Sale 559 152.86
US7475251036 Purchase 469 153.18
US7475251036 Purchase 102 153.03
US7475251036 Sale 102 153.03
US7475251036 Sale 271 151.95
US7475251036 Sale 56 151.54
US7475251036 Sale 2 152.38
US7475251036 Sale 1 153.26
US7475251036 Sale 32 153.45
US7475251036 Sale 1 153.53
US7475251036 Sale 9 153.36
US7475251036 Sale 175 153.31
US7475251036 Sale 30 153.24
US7475251036 Sale 4 153.56
US7475251036 Sale 1 153.62
US7475251036 Sale 8 153.51
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US7475251036 Sale 1 152.36
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US7475251036 Sale 14 153.44
US7475251036 Sale 8 153.32
US7475251036 Sale 185 153.38
US7475251036 Sale 23 153.39
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US7475251036 Sale 258 153.60
US7475251036 Sale 81 153.47
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US7475251036 Sale 84 153.27
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US7475251036 Sale 25 153.59
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US7475251036 Sale 5 153.35
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US7475251036 Sale 4 153.20
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US7475251036 Sale 22 153.17
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US7475251036 Purchase 28 153.53
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US7475251036 Purchase 3 153.36
US7475251036 Purchase 220 153.31
US7475251036 Purchase 30 153.62
US7475251036 Purchase 216 153.51
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US7475251036 Purchase 197 152.47
US7475251036 Purchase 98 150.34
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US7475251036 Purchase 79 153.60
US7475251036 Purchase 9 153.27
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US7475251036 Purchase 113 153.30
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US7475251036 Purchase 6 152.34
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US7475251036 Sale 60 153.58
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US7475251036 Purchase 6,881 150.55
US7475251036 Sale 58 150.55
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US7475251036 Sale 29 153.63
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US7475251036 Sale 1 153.57
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US7475251036 Purchase 1,107 153.35
US7475251036 Purchase 450 153.40
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US7475251036 Purchase 66 153.03
US7475251036 Sale 66 153.03
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US7475251036 Sale 20 152.57
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US7475251036 Sale 43 152.34
US7475251036 Sale 8 153.71
US7475251036 Purchase 100 153.41
US7475251036 Sale 62 153.41
US7475251036 Sale 51 152.71
US7475251036 Sale 100 152.14
US7475251036 Sale 20 152.58
US7475251036 Purchase 100 153.16
US7475251036 Sale 600 151.96
US7475251036 Purchase 134 153.69
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US7475251036 Purchase 26 152.84
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US7475251036 Sale 72 153.17
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US7475251036 Purchase 1 151.21
US7475251036 Sale 72 151.21
US7475251036 Sale 7 151.19
US7475251036 Purchase 1 150.44
US7475251036 Sale 3,001 151.98
US7475251036 Purchase 1 150.33
US7475251036 Purchase 4 150.70
US7475251036 Purchase 1 150.13
US7475251036 Sale 1 153.80
US7475251036 Purchase 1 150.48
US7475251036 Purchase 1 150.93
US7475251036 Purchase 1 150.36
US7475251036 Purchase 4 150.46
US7475251036 Purchase 3 150.41
US7475251036 Purchase 2 151.03
US7475251036 Sale 3 153.07
US7475251036 Sale 250 151.91
US7475251036 Sale 1,761 153.70
US7475251036 Purchase 1 151.69
US7475251036 Purchase 8 151.31
US7475251036 Purchase 1 151.74
US7475251036 Purchase 75 151.21
US7475251036 Purchase 21 151.36
US7475251036 Purchase 10 150.96
US7475251036 Purchase 303 153.70
US7475251036 Sale 12,687 153.70
US7475251036 Purchase 14,150 153.70
US7475251036 Sale 1,845 153.70
US7475251036 Purchase 24,255 153.70
US7475251036 Sale 18,021 153.70
US7475251036 Purchase 27,392 153.70
US7475251036 Sale 330 153.70
US7475251036 Sale 6,177 153.70
US7475251036 Purchase 6,232 153.70
US7475251036 Purchase 144 153.70
US7475251036 Sale 8,862 153.70
US7475251036 Sale 11,705 152.67
US7475251036 Sale 494 153.26
US7475251036 Sale 293 152.76
US7475251036 Purchase 1 153.53
US7475251036 Purchase 24 153.55
US7475251036 Purchase 26 153.68
US7475251036 Sale 509 153.68
US7475251036 Purchase 1,547 152.47
US7475251036 Purchase 61 152.59
US7475251036 Purchase 9 150.43
US7475251036 Sale 318 152.70
US7475251036 Purchase 61 153.57
US7475251036 Sale 29 153.35
US7475251036 Purchase 2,026 153.01
US7475251036 Sale 242 153.01
US7475251036 Sale 870 153.42
US7475251036 Sale 1,266 151.95
US7475251036 Purchase 897 152.57
US7475251036 Sale 1,244 152.34
US7475251036 Sale 38 151.97
US7475251036 Sale 131 153.41
US7475251036 Sale 27,392 153.70
US7475251036 Sale 5,391 153.70
US7475251036 Sale 20,685 153.70
US7475251036 Purchase 18,351 153.70
US7475251036 Purchase 1,845 153.70
(b) Cash-settled derivative transactions
Class of relevant security Product description Nature of dealing Number of reference securities Price per unit
e.g. CFD e.g. opening/closing a long/short position, increasing/reducing a long/short
position
US7475251036 Equity Swap Increasing a short Position 19 133.60 EUR
US7475251036 Equity Swap Reducing a short Position 70 135.21 EUR
US7475251036 Equity Swap Increasing a long Position 60 152.02 USD
US7475251036 Equity Swap Increasing a long Position 22 152.65 USD
US7475251036 Equity Swap Reducing a long Position 154 153.62 USD
(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 (USD) Type Expiry date Option money paid/ received per unit (USD)
e.g. American, European etc.
US7475251036 Call Option Written 100,000 160.0000 AMERICAN 19/12/2025 13.95
US7475251036 Put Option Purchased 100 130.0000 AMERICAN 16/01/2026 7.55
US7475251036 Put Option Purchased 400 135.0000 AMERICAN 16/01/2026 8.88
US7475251036 Put Option Purchased 100 140.0000 AMERICAN 16/01/2026 10.75
US7475251036 Put Option Purchased 200 145.0000 AMERICAN 16/01/2026 12.65
US7475251036 Put Option Purchased 200 150.0000 AMERICAN 16/01/2026 14.85
US7475251036 Put Option Purchased 200 130.0000 AMERICAN 20/03/2026 9.18
US7475251036 Put Option Purchased 200 135.0000 AMERICAN 20/03/2026 10.80
US7475251036 Put Option Purchased 100 140.0000 AMERICAN 20/03/2026 12.60
US7475251036 Put Option Purchased 100 140.0000 AMERICAN 20/06/2025 1.78
US7475251036 Put Option Purchased 100 155.0000 AMERICAN 20/06/2025 7.40
US7475251036 Put Option Purchased 100 120.0000 AMERICAN 18/07/2025 0.72
US7475251036 Put Option Purchased 200 140.0000 AMERICAN 18/07/2025 3.35
US7475251036 Put Option Purchased 100 140.0000 AMERICAN 18/07/2025 3.35
US7475251036 Put Option Written 100 145.0000 AMERICAN 18/07/2025 5.15
US7475251036 Put Option Purchased 200 155.0000 AMERICAN 18/07/2025 9.20
US7475251036 Put Option Purchased 100 135.0000 AMERICAN 15/08/2025 3.90
US7475251036 Put Option Purchased 100 140.0000 AMERICAN 15/08/2025 5.20
US7475251036 Put Option Purchased 100 145.0000 AMERICAN 15/08/2025 6.95
US7475251036 Put Option Purchased 300 140.0000 AMERICAN 19/09/2025 6.63
US7475251036 Put Option Purchased 300 145.0000 AMERICAN 19/09/2025 8.35
(ii) Exercise
Class of relevant security Product description Exercising/ exercised against Number of securities Exercise price per unit (USD)
e.g. call option
(d) Other dealings (including subscribing for new securities)
Class of relevant security Nature of dealing Details Price per unit (if applicable)
e.g. subscription, conversion
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”
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 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
(c) Attachments
Is a Supplemental Form 8 (Open Positions) attached? YES
Date of disclosure: 20(th) May 2025
Contact name: Stephen Glasper
Telephone number: +44 203 398 2166
SUPPLEMENTAL FORM 8 (OPEN POSITIONS)
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: Millennium International Management LP
Name of offeror/offeree in relation to whose relevant securities the Qualcomm Incorporated
disclosure relates:
2. STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)
Class of relevant security Product description e.g. call option Written or purchased Number of securities to which option or derivative relates Type Exercise price per unit Expiry date
e.g. American, European etc. (USD)
US7475251036 Call Option Purchased 100 AMERICAN 145.0000 15/08/2025
US7475251036 Put Option Purchased 100 AMERICAN 145.0000 15/08/2025
US7475251036 Put Option Purchased 100 AMERICAN 160.0000 16/01/2026
US7475251036 Put Option Purchased 100 AMERICAN 165.0000 16/01/2026
US7475251036 Put Option Purchased 200 AMERICAN 170.0000 16/01/2026
US7475251036 Put Option Purchased 100 AMERICAN 95.0000 20/03/2026
US7475251036 Put Option Purchased 100 AMERICAN 100.0000 20/03/2026
US7475251036 Put Option Purchased 300 AMERICAN 105.0000 20/03/2026
US7475251036 Call Option Written 1,500 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 100 AMERICAN 160.0000 20/06/2025
US7475251036 Put Option Purchased 200 AMERICAN 110.0000 20/03/2026
US7475251036 Put Option Purchased 100 AMERICAN 115.0000 20/03/2026
US7475251036 Put Option Purchased 5,200 AMERICAN 140.0000 20/06/2025
US7475251036 Put Option Purchased 4,500 AMERICAN 145.0000 20/06/2025
US7475251036 Put Option Purchased 5,700 AMERICAN 150.0000 20/06/2025
US7475251036 Put Option Purchased 100 AMERICAN 120.0000 20/03/2026
US7475251036 Put Option Purchased 700 AMERICAN 125.0000 20/03/2026
US7475251036 Put Option Purchased 1,800 AMERICAN 130.0000 20/03/2026
US7475251036 Put Option Purchased 2,800 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 100 AMERICAN 145.0000 18/07/2025
US7475251036 Put Option Purchased 1,200 AMERICAN 130.0000 16/01/2026
US7475251036 Put Option Purchased 1,300 AMERICAN 140.0000 16/01/2026
US7475251036 Put Option Purchased 2,000 AMERICAN 135.0000 20/03/2026
US7475251036 Put Option Purchased 2,500 AMERICAN 145.0000 18/07/2025
US7475251036 Put Option Purchased 1,100 AMERICAN 140.0000 20/03/2026
US7475251036 Put Option Purchased 100 AMERICAN 145.0000 20/03/2026
US7475251036 Call Option Purchased 2,100 AMERICAN 165.0000 20/06/2025
US7475251036 Call Option Purchased 600 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 100 AMERICAN 150.0000 20/03/2026
US7475251036 Put Option Purchased 100 AMERICAN 155.0000 20/03/2026
US7475251036 Put Option Purchased 100 AMERICAN 160.0000 20/03/2026
US7475251036 Put Option Purchased 400 AMERICAN 105.0000 20/06/2025
US7475251036 Put Option Purchased 800 AMERICAN 110.0000 20/06/2025
US7475251036 Put Option Purchased 200 AMERICAN 115.0000 20/06/2025
US7475251036 Put Option Purchased 300 AMERICAN 120.0000 20/06/2025
US7475251036 Put Option Purchased 200 AMERICAN 125.0000 20/06/2025
US7475251036 Put Option Purchased 200 AMERICAN 115.0000 16/01/2026
US7475251036 Put Option Purchased 600 AMERICAN 120.0000 16/01/2026
US7475251036 Put Option Purchased 200 AMERICAN 125.0000 16/01/2026
US7475251036 Put Option Purchased 3,700 AMERICAN 135.0000 16/01/2026
US7475251036 Put Option Purchased 1,500 AMERICAN 135.0000 20/06/2025
US7475251036 Put Option Purchased 2,000 AMERICAN 145.0000 16/01/2026
US7475251036 Put Option Purchased 2,500 AMERICAN 150.0000 16/01/2026
US7475251036 Put Option Written 1,000 AMERICAN 160.0000 20/06/2025
US7475251036 Put Option Purchased 3,600 AMERICAN 135.0000 19/09/2025
US7475251036 Put Option Purchased 5,900 AMERICAN 140.0000 19/09/2025
US7475251036 Call Option Purchased 600 AMERICAN 155.0000 18/07/2025
US7475251036 Put Option Purchased 700 AMERICAN 125.0000 18/07/2025
US7475251036 Put Option Purchased 400 AMERICAN 95.0000 18/07/2025
US7475251036 Put Option Purchased 1,300 AMERICAN 130.0000 18/07/2025
US7475251036 Put Option Purchased 1,700 AMERICAN 150.0000 18/07/2025
US7475251036 Put Option Purchased 400 AMERICAN 115.0000 18/07/2025
US7475251036 Put Option Purchased 500 AMERICAN 120.0000 18/07/2025
US7475251036 Put Option Purchased 2,300 AMERICAN 140.0000 18/07/2025
US7475251036 Put Option Purchased 2,500 AMERICAN 155.0000 18/07/2025
US7475251036 Put Option Purchased 1,200 AMERICAN 135.0000 15/08/2025
US7475251036 Put Option Purchased 400 AMERICAN 130.0000 15/08/2025
US7475251036 Put Option Purchased 200 AMERICAN 160.0000 19/09/2025
US7475251036 Put Option Purchased 2,600 AMERICAN 140.0000 15/08/2025
US7475251036 Put Option Purchased 1,300 AMERICAN 145.0000 15/08/2025
US7475251036 Put Option Purchased 1,500 AMERICAN 135.0000 18/07/2025
US7475251036 Put Option Purchased 1,000 AMERICAN 160.0000 18/07/2025
US7475251036 Put Option Purchased 1,100 AMERICAN 165.0000 18/07/2025
US7475251036 Put Option Purchased 1,300 AMERICAN 170.0000 18/07/2025
US7475251036 Put Option Purchased 200 AMERICAN 115.0000 15/08/2025
US7475251036 Call Option Purchased 200 AMERICAN 150.0000 18/07/2025
US7475251036 Put Option Purchased 200 AMERICAN 120.0000 15/08/2025
US7475251036 Put Option Purchased 100 AMERICAN 90.0000 15/01/2027
US7475251036 Put Option Purchased 300 AMERICAN 95.0000 15/01/2027
US7475251036 Put Option Purchased 200 AMERICAN 100.0000 15/01/2027
US7475251036 Put Option Purchased 200 AMERICAN 105.0000 15/01/2027
US7475251036 Put Option Purchased 200 AMERICAN 110.0000 15/01/2027
US7475251036 Put Option Purchased 200 AMERICAN 130.0000 15/01/2027
US7475251036 Put Option Purchased 100 AMERICAN 135.0000 15/01/2027
US7475251036 Put Option Purchased 3,000 AMERICAN 150.0000 15/08/2025
US7475251036 Put Option Purchased 200 AMERICAN 145.0000 15/01/2027
US7475251036 Put Option Purchased 100 AMERICAN 155.0000 15/01/2027
US7475251036 Put Option Purchased 100 AMERICAN 160.0000 15/01/2027
US7475251036 Put Option Purchased 3,200 AMERICAN 155.0000 15/08/2025
US7475251036 Put Option Purchased 300 AMERICAN 160.0000 15/08/2025
US7475251036 Put Option Purchased 100 AMERICAN 165.0000 15/01/2027
US7475251036 Put Option Purchased 100 AMERICAN 175.0000 15/01/2027
US7475251036 Put Option Purchased 400 AMERICAN 85.0000 16/01/2026
US7475251036 Put Option Purchased 1,200 AMERICAN 165.0000 15/08/2025
US7475251036 Put Option Purchased 2,300 AMERICAN 170.0000 15/08/2025
US7475251036 Put Option Purchased 2,900 AMERICAN 150.0000 19/09/2025
US7475251036 Put Option Purchased 2,800 AMERICAN 155.0000 19/09/2025
US7475251036 Put Option Purchased 300 AMERICAN 90.0000 16/01/2026
US7475251036 Put Option Purchased 300 AMERICAN 95.0000 16/01/2026
US7475251036 Put Option Purchased 200 AMERICAN 100.0000 16/01/2026
US7475251036 Put Option Purchased 500 AMERICAN 105.0000 16/01/2026
US7475251036 Put Option Purchased 100 AMERICAN 110.0000 16/01/2026
US7475251036 Put Option Purchased 300 AMERICAN 110.0000 19/09/2025
US7475251036 Put Option Purchased 200 AMERICAN 115.0000 19/09/2025
US7475251036 Put Option Purchased 200 AMERICAN 120.0000 19/09/2025
US7475251036 Put Option Purchased 300 AMERICAN 130.0000 19/09/2025
US7475251036 Put Option Purchased 100 AMERICAN 155.0000 16/01/2026
US7475251036 Put Option Purchased 3,200 AMERICAN 145.0000 19/09/2025
US7475251036 Put Option Purchased 200 AMERICAN 105.0000 17/10/2025
US7475251036 Put Option Purchased 300 AMERICAN 120.0000 17/10/2025
US7475251036 Put Option Purchased 700 AMERICAN 125.0000 17/10/2025
US7475251036 Put Option Purchased 800 AMERICAN 130.0000 17/10/2025
US7475251036 Put Option Purchased 300 AMERICAN 135.0000 17/10/2025
US7475251036 Put Option Purchased 300 AMERICAN 140.0000 17/10/2025
US7475251036 Put Option Purchased 1,000 AMERICAN 145.0000 17/10/2025
US7475251036 Put Option Purchased 200 AMERICAN 95.0000 18/12/2026
US7475251036 Put Option Purchased 100 AMERICAN 100.0000 18/12/2026
US7475251036 Put Option Purchased 100 AMERICAN 130.0000 18/12/2026
US7475251036 Put Option Purchased 100 AMERICAN 135.0000 18/12/2026
US7475251036 Put Option Purchased 100 AMERICAN 165.0000 18/12/2026
US7475251036 Call Option Written 600 AMERICAN 150.0000 20/06/2025
US7475251036 Call Option Purchased 500 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Written 400 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 1,700 AMERICAN 160.0000 20/06/2025
US7475251036 Put Option Written 600 AMERICAN 140.0000 20/06/2025
US7475251036 Put Option Purchased 300 AMERICAN 145.0000 20/06/2025
US7475251036 Put Option Purchased 1,100 AMERICAN 150.0000 20/06/2025
US7475251036 Put Option Purchased 800 AMERICAN 155.0000 20/06/2025
US7475251036 Put Option Purchased 400 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 2,000 AMERICAN 145.0000 18/07/2025
US7475251036 Call Option Purchased 200 AMERICAN 145.0000 18/07/2025
US7475251036 Put Option Written 2,000 AMERICAN 145.0000 18/07/2025
US7475251036 Put Option Written 200 AMERICAN 145.0000 18/07/2025
US7475251036 Call Option Purchased 10,000 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 5,000 AMERICAN 175.0000 20/06/2025
US7475251036 Call Option Purchased 300 AMERICAN 140.0000 18/07/2025
US7475251036 Call Option Written 200 AMERICAN 155.0000 18/07/2025
US7475251036 Call Option Purchased 200 AMERICAN 145.0000 15/08/2025
US7475251036 Put Option Written 300 AMERICAN 140.0000 18/07/2025
US7475251036 Put Option Purchased 200 AMERICAN 155.0000 18/07/2025
US7475251036 Put Option Purchased 600 AMERICAN 135.0000 15/08/2025
US7475251036 Put Option Purchased 600 AMERICAN 140.0000 15/08/2025
US7475251036 Put Option Purchased 400 AMERICAN 145.0000 15/08/2025
US7475251036 Call Option Purchased 75,000 AMERICAN 140.0000 16/01/2026
US7475251036 Call Option Purchased 5,000 AMERICAN 175.0000 20/06/2025
US7475251036 Call Option Written 50,000 AMERICAN 220.0000 20/06/2025
US7475251036 Call Option Written 33,600 AMERICAN 135.0000 18/07/2025
US7475251036 Put Option Written 10,000 AMERICAN 135.0000 18/07/2025
US7475251036 Call Option Written 100,000 AMERICAN 160.0000 19/12/2025
US7475251036 Put Option Purchased 2,400 AMERICAN 160.0000 16/01/2026
US7475251036 Call Option Written 2,500 AMERICAN 150.0000 20/06/2025
US7475251036 Call Option Written 11,800 AMERICAN 155.0000 20/06/2025
US7475251036 Put Option Purchased 5,700 AMERICAN 150.0000 20/06/2025
US7475251036 Put Option Purchased 100,000 AMERICAN 125.0000 20/03/2026
US7475251036 Put Option Purchased 11,400 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 40,000 AMERICAN 145.0000 18/07/2025
US7475251036 Call Option Purchased 40,000 AMERICAN 160.0000 19/09/2025
US7475251036 Put Option Purchased 10,600 AMERICAN 130.0000 16/01/2026
US7475251036 Put Option Purchased 100,000 AMERICAN 130.0000 16/01/2026
US7475251036 Put Option Purchased 46,900 AMERICAN 140.0000 16/01/2026
US7475251036 Put Option Purchased 2,000 AMERICAN 140.0000 16/01/2026
US7475251036 Put Option Purchased 150,000 AMERICAN 145.0000 18/07/2025
US7475251036 Call Option Written 9,400 AMERICAN 165.0000 20/06/2025
US7475251036 Call Option Written 13,000 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 20,000 AMERICAN 150.0000 20/03/2026
US7475251036 Put Option Purchased 46,500 AMERICAN 125.0000 20/06/2025
US7475251036 Put Option Purchased 12,200 AMERICAN 115.0000 16/01/2026
US7475251036 Put Option Purchased 10,500 AMERICAN 120.0000 16/01/2026
US7475251036 Put Option Purchased 9,300 AMERICAN 125.0000 16/01/2026
US7475251036 Put Option Purchased 25,300 AMERICAN 135.0000 16/01/2026
US7475251036 Put Option Purchased 18,600 AMERICAN 145.0000 16/01/2026
US7475251036 Put Option Purchased 2,600 AMERICAN 150.0000 16/01/2026
US7475251036 Put Option Purchased 13,000 AMERICAN 145.0000 18/12/2026
US7475251036 Call Option Purchased 400 AMERICAN 130.0000 15/08/2025
US7475251036 Put Option Purchased 700 AMERICAN 160.0000 20/06/2025
US7475251036 Put Option Purchased 8,900 AMERICAN 165.0000 20/06/2025
US7475251036 Put Option Purchased 12,500 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 1,200 AMERICAN 175.0000 20/06/2025
US7475251036 Put Option Purchased 14,800 AMERICAN 135.0000 19/09/2025
US7475251036 Put Option Purchased 31,300 AMERICAN 140.0000 19/09/2025
US7475251036 Call Option Purchased 10,700 AMERICAN 155.0000 19/09/2025
US7475251036 Put Option Purchased 100,000 AMERICAN 125.0000 18/06/2026
US7475251036 Call Option Purchased 40,000 AMERICAN 155.0000 18/07/2025
US7475251036 Put Option Purchased 217,500 AMERICAN 125.0000 18/07/2025
US7475251036 Put Option Purchased 1,700 AMERICAN 130.0000 18/07/2025
US7475251036 Put Option Purchased 2,900 AMERICAN 150.0000 18/07/2025
US7475251036 Put Option Written 210,000 EUROPEAN 150.0000 20/06/2025
US7475251036 Put Option Purchased 149,600 AMERICAN 130.0000 15/08/2025
US7475251036 Put Option Purchased 40,000 AMERICAN 160.0000 19/09/2025
US7475251036 Call Option Purchased 210,000 EUROPEAN 150.0000 20/06/2025
US7475251036 Call Option Purchased 10,000 AMERICAN 200.0000 16/01/2026
US7475251036 Call Option Purchased 20,000 AMERICAN 150.0000 20/03/2026
US7475251036 Call Option Written 40,000 AMERICAN 155.0000 23/05/2025
US7475251036 Call Option Written 40,000 AMERICAN 157.5000 23/05/2025
US7475251036 Call Option Written 40,000 AMERICAN 160.0000 23/05/2025
US7475251036 Call Option Written 13,000 AMERICAN 125.0000 18/07/2025
US7475251036 Call Option Purchased 7,700 AMERICAN 160.0000 18/07/2025
US7475251036 Put Option Purchased 10,000 AMERICAN 150.0000 15/01/2027
US7475251036 Call Option Purchased 150,000 AMERICAN 165.0000 18/07/2025
US7475251036 Call Option Purchased 31,100 AMERICAN 170.0000 18/07/2025
US7475251036 Put Option Purchased 1,400 AMERICAN 160.0000 16/01/2026
US7475251036 Put Option Purchased 2,300 AMERICAN 165.0000 16/01/2026
US7475251036 Put Option Purchased 6,700 AMERICAN 95.0000 20/03/2026
US7475251036 Put Option Purchased 6,000 AMERICAN 100.0000 20/03/2026
US7475251036 Put Option Purchased 6,000 AMERICAN 105.0000 20/03/2026
US7475251036 Put Option Purchased 5,500 AMERICAN 110.0000 20/03/2026
US7475251036 Put Option Purchased 5,700 AMERICAN 140.0000 20/06/2025
US7475251036 Put Option Purchased 1,200 AMERICAN 145.0000 20/06/2025
US7475251036 Put Option Purchased 400 AMERICAN 150.0000 20/06/2025
US7475251036 Put Option Purchased 2,900 AMERICAN 120.0000 20/03/2026
US7475251036 Put Option Purchased 4,300 AMERICAN 125.0000 20/03/2026
US7475251036 Put Option Purchased 43,500 AMERICAN 155.0000 20/06/2025
US7475251036 Call Option Purchased 2,300 AMERICAN 160.0000 19/09/2025
US7475251036 Put Option Purchased 9,200 AMERICAN 130.0000 16/01/2026
US7475251036 Put Option Written 55,100 AMERICAN 140.0000 16/01/2026
US7475251036 Put Option Purchased 8,800 AMERICAN 145.0000 18/07/2025
US7475251036 Put Option Purchased 3,000 AMERICAN 140.0000 20/03/2026
US7475251036 Put Option Purchased 7,900 AMERICAN 145.0000 20/03/2026
US7475251036 Call Option Purchased 200 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 4,000 AMERICAN 150.0000 20/03/2026
US7475251036 Put Option Purchased 3,400 AMERICAN 155.0000 20/03/2026
US7475251036 Put Option Purchased 2,200 AMERICAN 160.0000 20/03/2026
US7475251036 Put Option Purchased 600 AMERICAN 125.0000 20/06/2025
US7475251036 Put Option Purchased 15,400 AMERICAN 115.0000 16/01/2026
US7475251036 Put Option Purchased 10,400 AMERICAN 120.0000 16/01/2026
US7475251036 Put Option Purchased 8,500 AMERICAN 125.0000 16/01/2026
US7475251036 Put Option Purchased 11,600 AMERICAN 135.0000 16/01/2026
US7475251036 Put Option Purchased 5,000 AMERICAN 135.0000 20/06/2025
US7475251036 Put Option Purchased 1,700 AMERICAN 145.0000 16/01/2026
US7475251036 Put Option Purchased 1,000 AMERICAN 150.0000 16/01/2026
US7475251036 Put Option Purchased 5,300 AMERICAN 160.0000 20/06/2025
US7475251036 Put Option Purchased 5,000 AMERICAN 165.0000 20/06/2025
US7475251036 Put Option Purchased 4,700 AMERICAN 170.0000 20/06/2025
US7475251036 Put Option Purchased 5,100 AMERICAN 175.0000 20/06/2025
US7475251036 Put Option Purchased 600 AMERICAN 135.0000 19/09/2025
US7475251036 Put Option Purchased 300 AMERICAN 140.0000 19/09/2025
US7475251036 Put Option Purchased 8,300 AMERICAN 150.0000 18/07/2025
US7475251036 Put Option Purchased 7,900 AMERICAN 155.0000 18/07/2025
US7475251036 Put Option Purchased 2,700 AMERICAN 160.0000 19/09/2025
US7475251036 Put Option Purchased 1,400 AMERICAN 140.0000 15/08/2025
US7475251036 Put Option Purchased 6,300 AMERICAN 145.0000 15/08/2025
US7475251036 Call Option Purchased 400 AMERICAN 140.0000 16/01/2026
US7475251036 Call Option Purchased 2,700 AMERICAN 220.0000 20/06/2025
US7475251036 Call Option Purchased 5,500 AMERICAN 200.0000 16/01/2026
US7475251036 Call Option Purchased 2,800 AMERICAN 160.0000 18/07/2025
US7475251036 Call Option Purchased 2,800 AMERICAN 165.0000 18/07/2025
US7475251036 Call Option Purchased 2,800 AMERICAN 170.0000 18/07/2025
US7475251036 Put Option Purchased 3,700 AMERICAN 150.0000 15/08/2025
US7475251036 Put Option Purchased 2,400 AMERICAN 155.0000 15/08/2025
US7475251036 Put Option Purchased 3,500 AMERICAN 85.0000 16/01/2026
US7475251036 Put Option Purchased 100 AMERICAN 165.0000 15/08/2025
US7475251036 Put Option Purchased 9,300 AMERICAN 150.0000 19/09/2025
US7475251036 Put Option Purchased 3,200 AMERICAN 155.0000 19/09/2025
US7475251036 Call Option Purchased 6,100 AMERICAN 210.0000 16/01/2026
US7475251036 Call Option Purchased 4,200 AMERICAN 220.0000 16/01/2026
US7475251036 Put Option Purchased 4,400 AMERICAN 90.0000 16/01/2026
US7475251036 Put Option Purchased 7,700 AMERICAN 95.0000 16/01/2026
US7475251036 Call Option Purchased 5,500 AMERICAN 190.0000 16/01/2026
US7475251036 Call Option Purchased 23,800 AMERICAN 195.0000 16/01/2026
US7475251036 Call Option Purchased 2,400 AMERICAN 260.0000 16/01/2026
US7475251036 Put Option Purchased 9,500 AMERICAN 100.0000 16/01/2026
US7475251036 Put Option Purchased 22,900 AMERICAN 105.0000 16/01/2026
US7475251036 Call Option Purchased 300 AMERICAN 195.0000 20/06/2025
US7475251036 Call Option Purchased 1,000 AMERICAN 200.0000 20/06/2025
US7475251036 Call Option Purchased 1,000 AMERICAN 210.0000 20/06/2025
US7475251036 Put Option Purchased 7,000 AMERICAN 110.0000 16/01/2026
US7475251036 Call Option Purchased 3,300 AMERICAN 230.0000 20/06/2025
US7475251036 Call Option Purchased 4,200 AMERICAN 240.0000 20/06/2025
US7475251036 Call Option Purchased 1,000 AMERICAN 250.0000 20/06/2025
US7475251036 Call Option Purchased 300 AMERICAN 260.0000 20/06/2025
US7475251036 Put Option Purchased 2,000 AMERICAN 130.0000 19/09/2025
US7475251036 Call Option Purchased 5,200 AMERICAN 230.0000 16/01/2026
US7475251036 Call Option Purchased 3,400 AMERICAN 240.0000 16/01/2026
US7475251036 Put Option Purchased 3,400 AMERICAN 155.0000 16/01/2026
US7475251036 Call Option Purchased 2,900 AMERICAN 250.0000 16/01/2026
US7475251036 Put Option Purchased 8,200 AMERICAN 145.0000 19/09/2025
US7475251036 Call Option Purchased 1,300 AMERICAN 270.0000 16/01/2026
US7475251036 Call Option Purchased 20,500 AMERICAN 170.0000 16/01/2026
US7475251036 Call Option Purchased 4,400 AMERICAN 175.0000 16/01/2026
US7475251036 Put Option Purchased 300 AMERICAN 140.0000 17/10/2025
US7475251036 Put Option Purchased 1,700 AMERICAN 145.0000 17/10/2025
US7475251036 Call Option Purchased 4,400 AMERICAN 180.0000 16/01/2026
US7475251036 Call Option Written 3,700 AMERICAN 185.0000 16/01/2026
US7475251036 Call Option Purchased 600 AMERICAN 280.0000 16/01/2026
US7475251036 Call Option Purchased 1,500 AMERICAN 290.0000 16/01/2026
US7475251036 Call Option Purchased 700 AMERICAN 300.0000 16/01/2026
US7475251036 Call Option Purchased 2,000 AMERICAN 160.0000 20/03/2026
US7475251036 Call Option Purchased 2,800 AMERICAN 165.0000 20/03/2026
US7475251036 Call Option Purchased 2,500 AMERICAN 170.0000 20/03/2026
US7475251036 Call Option Purchased 3,900 AMERICAN 175.0000 20/03/2026
US7475251036 Call Option Purchased 3,700 AMERICAN 180.0000 20/03/2026
US7475251036 Call Option Purchased 3,000 AMERICAN 185.0000 20/03/2026
US7475251036 Call Option Purchased 2,900 AMERICAN 190.0000 20/03/2026
US7475251036 Call Option Purchased 1,800 AMERICAN 195.0000 20/03/2026
US7475251036 Call Option Purchased 2,700 AMERICAN 200.0000 20/03/2026
US7475251036 Call Option Purchased 3,300 AMERICAN 210.0000 20/03/2026
US7475251036 Call Option Purchased 2,900 AMERICAN 220.0000 20/03/2026
US7475251036 Call Option Purchased 2,700 AMERICAN 230.0000 20/03/2026
US7475251036 Call Option Purchased 2,300 AMERICAN 240.0000 20/03/2026
US7475251036 Call Option Purchased 2,300 AMERICAN 250.0000 20/03/2026
US7475251036 Call Option Purchased 2,100 AMERICAN 260.0000 20/03/2026
US7475251036 Call Option Purchased 3,600 AMERICAN 165.0000 19/09/2025
US7475251036 Call Option Purchased 3,900 AMERICAN 170.0000 19/09/2025
US7475251036 Call Option Purchased 3,700 AMERICAN 175.0000 19/09/2025
US7475251036 Call Option Purchased 4,100 AMERICAN 180.0000 19/09/2025
US7475251036 Call Option Purchased 4,100 AMERICAN 185.0000 19/09/2025
US7475251036 Call Option Purchased 900 AMERICAN 190.0000 19/09/2025
US7475251036 Call Option Purchased 900 AMERICAN 195.0000 19/09/2025
US7475251036 Call Option Purchased 1,300 AMERICAN 200.0000 19/09/2025
US7475251036 Call Option Purchased 1,600 AMERICAN 210.0000 19/09/2025
US7475251036 Call Option Purchased 800 AMERICAN 220.0000 19/09/2025
US7475251036 Put Option Written 7,200 AMERICAN 175.0000 16/01/2026
US7475251036 Put Option Purchased 2,000 AMERICAN 165.0000 20/03/2026
US7475251036 Put Option Purchased 800 AMERICAN 170.0000 20/03/2026
US7475251036 Put Option Purchased 200 AMERICAN 175.0000 20/03/2026
US7475251036 Put Option Purchased 2,200 AMERICAN 125.0000 19/09/2025
US7475251036 Put Option Purchased 1,700 AMERICAN 165.0000 19/09/2025
US7475251036 Put Option Purchased 700 AMERICAN 150.0000 17/10/2025
US7475251036 Put Option Purchased 1,600 AMERICAN 155.0000 17/10/2025
US7475251036 Put Option Purchased 400 AMERICAN 160.0000 17/10/2025
US7475251036 Put Option Written 35,000 AMERICAN 110.0000 19/12/2025
US7475251036 Call Option Purchased 1,000 AMERICAN 145.0000 16/01/2026
US7475251036 Call Option Purchased 1,600 AMERICAN 150.0000 16/01/2026
US7475251036 Call Option Purchased 1,900 AMERICAN 155.0000 16/01/2026
US7475251036 Call Option Purchased 3,100 AMERICAN 160.0000 16/01/2026
US7475251036 Call Option Purchased 3,300 AMERICAN 165.0000 16/01/2026
US7475251036 Call Option Purchased 100 AMERICAN 165.0000 18/06/2026
US7475251036 Call Option Purchased 100 AMERICAN 170.0000 18/06/2026
US7475251036 Call Option Purchased 100 AMERICAN 175.0000 18/06/2026
US7475251036 Call Option Purchased 200 AMERICAN 180.0000 18/06/2026
US7475251036 Call Option Purchased 1,200 AMERICAN 185.0000 18/06/2026
US7475251036 Call Option Purchased 1,400 AMERICAN 190.0000 18/06/2026
US7475251036 Call Option Purchased 2,900 AMERICAN 175.0000 18/07/2025
US7475251036 Call Option Purchased 1,500 AMERICAN 160.0000 15/08/2025
US7475251036 Call Option Purchased 2,300 AMERICAN 165.0000 15/08/2025
US7475251036 Call Option Purchased 4,900 AMERICAN 170.0000 15/08/2025
US7475251036 Call Option Purchased 3,400 AMERICAN 175.0000 15/08/2025
US7475251036 Call Option Purchased 2,500 AMERICAN 180.0000 15/08/2025
US7475251036 Call Option Purchased 3,600 AMERICAN 185.0000 15/08/2025
US7475251036 Call Option Purchased 1,200 AMERICAN 190.0000 15/08/2025
US7475251036 Call Option Purchased 800 AMERICAN 195.0000 15/08/2025
US7475251036 Put Option Purchased 22,500 AMERICAN 190.0000 16/01/2026
US7475251036 Put Option Purchased 5,300 AMERICAN 180.0000 20/06/2025
US7475251036 Put Option Purchased 2,500 AMERICAN 185.0000 20/06/2025
US7475251036 Put Option Purchased 4,200 AMERICAN 190.0000 20/06/2025
US7475251036 Put Option Purchased 5,000 AMERICAN 155.0000 18/06/2026
US7475251036 Put Option Purchased 2,500 AMERICAN 160.0000 18/06/2026
US7475251036 Put Option Purchased 8,500 AMERICAN 145.0000 18/06/2026
US7475251036 Put Option Purchased 7,600 AMERICAN 150.0000 18/06/2026
US7475251036 Put Option Purchased 1,700 AMERICAN 140.0000 18/06/2026
US7475251036 Put Option Purchased 18,500 AMERICAN 131.0000 19/12/2025
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
(https://cts.businesswire.com/ct/CT?id=smartlink&url=http%3A%2F%2Fwww.thetakeoverpanel.org.uk%2F&esheet=54257611&newsitemid=20250520599482&lan=en-US&anchor=www.thetakeoverpanel.org.uk&index=1&md5=259c90f7b4ba91c0309f65a4db523a7a)
.
View source version on businesswire.com:
https://www.businesswire.com/news/home/20250520599482/en/
(https://www.businesswire.com/news/home/20250520599482/en/)
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