REG - Societe Generale SA Royal Dutch Shell - Form 8.3 - Royal Dutch Shell Plc <Origin Href="QuoteRef">RDSa.L</Origin> - Part 1
RNS Number : 4105RSociete Generale SA26 June 2015FORM 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:
Socit Gnrale S.A.
(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 relates:
Use a separate form for each offeror/offeree
Royal Dutch Shell Plc
(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:
For an opening position disclosure, state the latest practicable date prior to the disclosure
25/06/2015
(f) In addition to the company in 1(c) above, is the discloser making disclosures in respect of any other party to the offer?
If it is a cash offer or possible cash offer, state "N/A"
YES :BG Group Plc
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:
EUR 0.07 A ordinary: 23,080,303 Shares interests and 21,477,422 short position
ADR (referencing the A ords): 303,796 equivalent Shares interests and 110,039 equivalent Shares as short position
Where (1 ADR = 2 ordinary shares)
Interests
Short positions
Number
%
Number
%
(1) Relevant securities owned and/or controlled:
23,383,099
0.60
21,587,461
0.55
(2) Cash-settled derivatives:
44,188,956
1.13
10,511,468
0.27
(3) Stock-settled derivatives (including options) and agreements to purchase/sell:
3,979,752
0.10
5,907,391
0.15
TOTAL:
71,551,807
1.83
38,006,320
0.97
Class of relevant security:
EUR 0.07 B ordinary: 2,550,974 Shares interests and 8,680,711 short position
ADR (referencing the B ords): 26,000 equivalent Shares interests and 40 equivalent Shares as short position
Where (1 ADR = 2 ordinary shares)
Interests
Short Positions
Number
%
Number
%
(1) Relevant securities owned and/or controlled:
2,576,974
0.11
8,680,751
0.36
(2) Cash-settled derivatives:
8,398,177
0.34
13,932
0.00
(3) Stock-settled derivatives (including options) and agreements to purchase/sell:
447,544
0.02
994,544
0.04
TOTAL:
11,422,695
0.47
9,689,227
0.40
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 Form8 (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
A Ordinary
Purchase
22,279
26.60
A Ordinary
Purchase
69,521
26.60
A Ordinary
Purchase
8
26.85
A Ordinary
Purchase
600
26.63
A Ordinary
Purchase
40
26.62
A Ordinary
Purchase
91
26.81
A Ordinary
Purchase
3,538
26.60
A Ordinary
Purchase
3,162
26.60
A Ordinary
Purchase
1,811
26.60
A Ordinary
Purchase
2,133
26.60
A Ordinary
Purchase
2,367
26.60
A Ordinary
Purchase
1,171
26.60
A Ordinary
Purchase
905
26.60
A Ordinary
Purchase
1,358
26.60
A Ordinary
Purchase
2,716
26.60
A Ordinary
Purchase
2,264
26.60
A Ordinary
Purchase
5,975
26.60
A Ordinary
Purchase
174
26.89
A Ordinary
Purchase
1,883
26.89
A Ordinary
Purchase
814
26.57
A Ordinary
Purchase
500
26.66
A Ordinary
Purchase
500
26.66
A Ordinary
Purchase
21,829
26.76
A Ordinary
Purchase
269
26.93
A Ordinary
Purchase
500
26.93
A Ordinary
Purchase
462
26.85
A Ordinary
Purchase
400
26.93
A Ordinary
Purchase
400
26.93
A Ordinary
Purchase
400
26.92
A Ordinary
Purchase
7,458
26.67
A Ordinary
Purchase
8
26.63
A Ordinary
Purchase
18,796
26.71
A Ordinary
Purchase
376
26.58
A Ordinary
Purchase
266,938
26.76
A Ordinary
Purchase
1,347
26.99
A Ordinary
Purchase
7
26.56
A Ordinary
Purchase
1,512
26.76
A Ordinary
Purchase
506
26.90
A Ordinary
Purchase
400
26.64
A Ordinary
Purchase
4,623
26.71
A Ordinary
Purchase
423
26.60
A Ordinary
Purchase
452
26.60
A Ordinary
Purchase
7,507
26.60
A Ordinary
Purchase
1,886
26.60
A Ordinary
Purchase
1,630
26.60
A Ordinary
Purchase
58
26.60
A Ordinary
Purchase
9,671
26.60
A Ordinary
Purchase
12,493
26.60
A Ordinary
Purchase
490
26.60
A Ordinary
Purchase
347
26.60
A Ordinary
Purchase
83
26.60
A Ordinary
Purchase
174
26.60
A Ordinary
Purchase
330
26.60
A Ordinary
Purchase
130
26.60
A Ordinary
Purchase
422
26.60
A Ordinary
Purchase
2,131
26.60
A Ordinary
Purchase
1,744
26.60
A Ordinary
Purchase
1,200
26.60
A Ordinary
Purchase
672
26.60
A Ordinary
Purchase
102
26.60
A Ordinary
Purchase
1,847
26.60
A Ordinary
Purchase
808
26.60
A Ordinary
Purchase
1,846
26.60
A Ordinary
Purchase
944
26.60
A Ordinary
Purchase
4,714
26.60
A Ordinary
Purchase
1,003
26.60
A Ordinary
Purchase
186
26.91
A Ordinary
Purchase
400
26.67
A Ordinary
Purchase
600
26.67
A Ordinary
Purchase
81,061
26.77
A Ordinary
Purchase
2,365
26.85
A Ordinary
Purchase
21,528
26.68
A Ordinary
Purchase
87,968
26.75
A Ordinary
Purchase
400
26.69
A Ordinary
Purchase
6,370
26.82
A Ordinary
Purchase
200
26.59
A Ordinary
Purchase
200
26.60
A Ordinary
Purchase
149
26.74
A Ordinary
Purchase
314
26.78
A Ordinary
Purchase
1,334
26.76
A Ordinary
Purchase
230
26.56
A Ordinary
Purchase
37
26.58
A Ordinary
Purchase
1,031
26.60
A Ordinary
Purchase
30
26.86955
A Ordinary
Purchase
81872
26.50765
A ADRs
Purchase
5,800.00
26.48
A ADRs
Purchase
400.00
26.45
A Ordinary
Sale
400
26.98
A Ordinary
Sale
373
26.98
A Ordinary
Sale
373
26.98
A Ordinary
Sale
400
26.81
A Ordinary
Sale
486
26.60
A Ordinary
Sale
474
26.60
A Ordinary
Sale
533
26.60
A Ordinary
Sale
71
26.60
A Ordinary
Sale
1,452
26.60
A Ordinary
Sale
844
26.60
A Ordinary
Sale
2,462
26.60
A Ordinary
Sale
244
26.60
A Ordinary
Sale
2,090
26.60
A Ordinary
Sale
408
26.74
A Ordinary
Sale
1,100
26.86
A Ordinary
Sale
877
26.96
A Ordinary
Sale
9
26.66
A Ordinary
Sale
200
26.80
A Ordinary
Sale
172
26.93
A Ordinary
Sale
400
26.92
A Ordinary
Sale
151
26.92
A Ordinary
Sale
259
26.58
A Ordinary
Sale
8,728
26.84
A Ordinary
Sale
1,547
26.74
A Ordinary
Sale
9
26.66
A Ordinary
Sale
360,055
26.79
A Ordinary
Sale
600
26.96
A Ordinary
Sale
1,115
26.60
A Ordinary
Sale
5,756
26.85
A Ordinary
Sale
3,973
26.78
A Ordinary
Sale
896
26.60
A Ordinary
Sale
1,630
26.60
A Ordinary
Sale
755
26.60
A Ordinary
Sale
4,999
26.60
A Ordinary
Sale
272
26.60
A Ordinary
Sale
6,651
26.60
A Ordinary
Sale
8,228
26.73
A Ordinary
Sale
136
26.60
A Ordinary
Sale
377
26.60
A Ordinary
Sale
6,143
26.60
A Ordinary
Sale
1,834
26.60
A Ordinary
Sale
9,238
26.60
A Ordinary
Sale
1,280
26.60
A Ordinary
Sale
403
26.60
A Ordinary
Sale
496
26.60
A Ordinary
Sale
28
26.81
A Ordinary
Sale
46,113
26.82
A Ordinary
Sale
400
26.79
A Ordinary
Sale
2,374
26.77
A Ordinary
Sale
30,307
26.82
A Ordinary
Sale
5,936
26.83
A Ordinary
Sale
393
26.84
A Ordinary
Sale
200
26.92
A Ordinary
Sale
55,550
26.74
A Ordinary
Sale
130,124
26.74
A Ordinary
Sale
218
26.92
A Ordinary
Sale
400
26.81
A Ordinary
Sale
1,892
26.59
A Ordinary
Sale
81872
26.51007
A Ordinary
Sale
30
26.86955
A ADRs
Sale
25,600.00
26.51
A ADRs
Sale
344.00
26.44
Total purchases
795,623
Total sales
820,680
Class of relevant security
Purchase/sale
Number of securities
Price per unit
B Ordinary
Purchase
1,219
26.80
B Ordinary
Purchase
2,758
27.13
B Ordinary
Purchase
300
26.85
B Ordinary
Purchase
4,507
26.82
B Ordinary
Purchase
500
26.99
B Ordinary
Purchase
495
27.07
B Ordinary
Purchase
11,518
27.02
B Ordinary
Purchase
1,045
27.14
B Ordinary
Purchase
200
26.84
B Ordinary
Purchase
1,256
27.13
B Ordinary
Purchase
332
27.00
B Ordinary
Purchase
500
27.06
B Ordinary
Purchase
9
26.82
B Ordinary
Purchase
800
27.10
B Ordinary
Purchase
277
26.80
B Ordinary
Purchase
1,444
26.92
B Ordinary
Purchase
200
27.16
B Ordinary
Purchase
500
27.18
B Ordinary
Purchase
500
27.14
B Ordinary
Purchase
1
26.81
B Ordinary
Purchase
406
26.82
B Ordinary
Purchase
23,426
26.93
B Ordinary
Purchase
3,195
26.79
B Ordinary
Purchase
971
26.89
B Ordinary
Purchase
9,604
26.82
B Ordinary
Purchase
400
26.83
B Ordinary
Purchase
11,415
26.97
B Ordinary
Purchase
11,337
26.82
B Ordinary
Purchase
21
26.81
B Ordinary
Purchase
3
26.81
B Ordinary
Purchase
500
27.04
B Ordinary
Purchase
1,551
26.78
B Ordinary
Sale
12,921
26.82
B Ordinary
Sale
896
26.82
B Ordinary
Sale
500
27.04
B Ordinary
Sale
500
27.04
B Ordinary
Sale
330
27.05
B Ordinary
Sale
29
26.84
B Ordinary
Sale
334
27.24
B Ordinary
Sale
1,947
27.07
B Ordinary
Sale
400
26.90
B Ordinary
Sale
944
26.80
B Ordinary
Sale
18,079
27.07
B Ordinary
Sale
642
27.13
B Ordinary
Sale
500
27.13
B Ordinary
Sale
908
27.04
B Ordinary
Sale
167
27.04
B Ordinary
Sale
132
27.03
B Ordinary
Sale
167
27.03
B Ordinary
Sale
493
27.03
B Ordinary
Sale
65
27.03
B Ordinary
Sale
92
27.03
B Ordinary
Sale
326
27.23
B Ordinary
Sale
73
27.23
B Ordinary
Sale
1
26.81
B Ordinary
Sale
464
27.02
B Ordinary
Sale
159
27.02
B Ordinary
Sale
500
27.04
B Ordinary
Sale
55,754
26.82
B Ordinary
Sale
11
26.80
B Ordinary
Sale
49
26.79
B Ordinary
Sale
500
26.81
B Ordinary
Sale
71,606
27.02
B Ordinary
Sale
360
27.14
B Ordinary
Sale
25,856
27.11
B Ordinary
Sale
55
26.79
B Ordinary
Sale
25
26.79
B Ordinary
Sale
43,204
27.08
B Ordinary
Sale
68,000
26.80
Total purchases
91,190
Total sales
306,989
(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
A Ordinary
Euro Medium Term Note
Increasing a short position
90,226
7
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
B Ordinary
CFD
Increasing a long position
43,204
27.08
B Ordinary
CFD
Increasing a long position
68,000
26.80
B Ordinary
OTC call-option
Increasing a long position
429,530
0.0804
B Ordinary
OTC call-option
Expiry
407,310
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
A Ordinary
Listed call-option
Purchasing
20,000
20
American
18/12/2015
0.55
A Ordinary
Listed call-option
Selling
122,000
19
American
17/07/2015
0.35
A Ordinary
Euro Medium Term Note
Purchasing
90,226
N/A
N/A
23/12/2016
0.20
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
A ADRs
Listed put-option
Selling
40,000
50
American
20/01/2017
2.54
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
B Ordinary
Listed put-option
Purchasing
2,000
20.5
American
18/12/2015
0.31
(ii) Exercise
Class of relevant security
Product description
e.g. call option
Exercising/ exercised against
Number of securities
Exercise price per unit
Class of relevant security
Product description
e.g. call option
Exercising/ exercised against
Number of securities
Exercise price per unit
(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)
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) 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"
(c) Attachments
Is a Supplemental Form 8 (Open Positions) attached?
YES
Date of disclosure:
26/06/2015
Contact name:
Jean-Baptiste GICQUEL
Telephone number:
+44 20 7676 6826
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 disclosure requirements on +44 (0)20 7638 0129.
The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.
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:
Socit Gnrale S.A.
Name of offeror/offeree in relation to whose relevant securities the disclosure relates:
Royal Dutch Shell Plc
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
Exercise price per unit
Type
e.g. American, European etc.
Expiry date
EUR 0.07 A Ordinary
Certificate
Sale
22
N/A
N/A
01/07/2016
EUR 0.07 A Ordinary
Certificate
Sale
5
N/A
N/A
29/03/2016
EUR 0.07 A Ordinary
Certificate
Sale
3
N/A
N/A
29/12/2015
EUR 0.07 A Ordinary
Certificate
Sale
10
N/A
N/A
01/07/2016
EUR 0.07 A Ordinary
Euro Medium Term Note
Sale
25
N/A
N/A
25/11/2016
EUR 0.07 A Ordinary
Euro Medium Term Note
Purchase
90,226
N/A
N/A
23/12/2016
EUR 0.07 A Ordinary
Listed call-option
Purchase
20,000
20
American options
18/012/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
3,000
21
American options
18/09/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
44,500
26
American options
15/12/2017
EUR 0.07 A Ordinary
Listed call-option
Purchase
54,400
26
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
116,600
26
American options
21/12/2018
EUR 0.07 A Ordinary
Listed call-option
Purchase
7,500
27
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
150,000
28
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
139,000
28
American options
21/12/2018
EUR 0.07 A Ordinary
Listed call-option
Purchase
251,000
29
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
30,500
29.500
American options
17/07/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
15,300
29
American options
17/07/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
102,000
30
American options
16/12/2016
EUR 0.07 A Ordinary
Listed call-option
Purchase
150,000
30
American options
18/09/2015
EUR 0.07 A Ordinary
Listed call-option
Purchase
71,400
32
American options
16/12/2016
EUR 0.07 A Ordinary
Listed call-option
Purchase
170,000
32
American options
18/03/2016
EUR 0.07 A Ordinary
Listed call-option
Purchase
10,000
35
American options
15/12/2017
EUR 0.07 A Ordinary
Listed call-option
Purchase
10,000
40
American options
21/12/2018
EUR 0.07 A Ordinary
Listed call-option
Purchase
200,000
28
American options
18/03/2016
EUR 0.07 A Ordinary
Listed call-option
Sale
225,100
26
American options
16/12/2016
EUR 0.07 A Ordinary
Listed call-option
Sale
15,000
20
American options
17/07/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
122,000
19
American options
17/07/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
10,000
23
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
2,000
25
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
50,000
25
American options
21/12/2018
EUR 0.07 A Ordinary
Listed call-option
Sale
71,500
28
American options
15/12/2017
EUR 0.07 A Ordinary
Listed call-option
Sale
130,500
28
American options
16/12/2016
EUR 0.07 A Ordinary
Listed call-option
Sale
75,000
28
American options
20/12/2019
EUR 0.07 A Ordinary
Listed call-option
Sale
177,700
30
American options
15/12/2017
EUR 0.07 A Ordinary
Listed call-option
Sale
35,000
30
American options
17/06/2016
EUR 0.07 A Ordinary
Listed call-option
Sale
250,000
30
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
98,700
30
American options
21/12/2018
EUR 0.07 A Ordinary
Listed call-option
Sale
50,000
32
American options
15/12/2017
EUR 0.07 A Ordinary
Listed call-option
Sale
150,000
32
American options
16/06/2017
EUR 0.07 A Ordinary
Listed call-option
Sale
98,600
32
American options
18/12/2015
EUR 0.07 A Ordinary
Listed call-option
Sale
600
35
American options
16/12/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
200,000
23
American options
18/03/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
800
15
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Purchase
60,000
19
American options
18/03/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
67,000
20
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
80,000
21
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
25,000
22
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Purchase
327,000
22
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
10,000
23
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Purchase
100,000
23
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
100,000
24
American options
16/12/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
100,000
24
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
218,000
24
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
40,000
25
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
150,000
26
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
354,500
26
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Purchase
270,000
26
American options
18/03/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
80,700
26
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Purchase
5,000
26
American options
21/12/2018
EUR 0.07 A Ordinary
Listed put-option
Purchase
145,000
28
American options
16/12/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
300,000
28
American options
17/06/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
85,000
30
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Purchase
75,000
32
American options
16/12/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
85,000
18
American options
18/03/2016
EUR 0.07 A Ordinary
Listed put-option
Purchase
100,000
18
American options
20/12/2019
EUR 0.07 A Ordinary
Listed put-option
Sale
161,000
18
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
200,000
28
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
197,800
16
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
38,000
19
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
47,300
20
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Sale
140,000
20
American options
18/12/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
11,000
21
American options
18/09/2015
EUR 0.07 A Ordinary
Listed put-option
Sale
200,000
24
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Sale
85,000
25
American options
15/12/2017
EUR 0.07 A Ordinary
Listed put-option
Sale
96,500
26
American options
16/12/2016
A ADRs
Listed put-option
Sale
40,000
26
American
15/01/2016
A ADRs
Listed put-option
Sale
40,000
50
American
20/01/2017
EUR 0.07 A Ordinary
Listed put-option
Sale
100
30
American options
16/12/2016
EUR 0.07 A Ordinary
OTC call-option
Purchase
250,000
26.700
European options
18/12/2015
EUR 0.07 A Ordinary
OTC call-option
Purchase
150,000
32
American options
18/12/2015
EUR 0.07 A Ordinary
OTC call-option
Purchase
167,626
18.896
European options
18/09/2015
EUR 0.07 A Ordinary
OTC call-option
Sale
200,000
27
American options
18/12/2015
EUR 0.07 A Ordinary
OTC call-option
Sale
150,000
32
American options
18/12/2015
EUR 0.07 A Ordinary
OTC call-option
Sale
350,000
27.4
American options
16/12/2016
EUR 0.07 A Ordinary
OTC put-option
Purchase
350,000
27.4
American options
16/12/2016
EUR 0.07 A Ordinary
OTC put-option
Purchase
150,000
26
American options
18/12/2015
EUR 0.07 A Ordinary
OTC put-option
Purchase
167,626
18.896
European options
18/09/2015
EUR 0.07 A Ordinary
OTC put-option
Sale
250,000
26.700
European options
18/12/2015
EUR 0.07 A Ordinary
OTC put-option
Sale
200,000
26
American options
18/12/2015
EUR 0.07 A Ordinary
OTC put-option
Sale
150,000
26
American options
18/12/2015
Class of relevant security
Product description e.g. call option
Written or purchased
Number of securities to which option or derivative relates
Exercise price per unit
Type
e.g. American, European etc.
Expiry date
EUR 0.07 B Ordinary
Listed call-option
Purchase
19,000
21.500
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
17,000
21.500
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
12,000
21
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
10,000
22.500
American options
17/07/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
17,000
22.500
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
5,000
22.500
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
25,000
22
American options
17/07/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
2,000
22
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
47,000
22
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
10,000
23
American options
17/07/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
7,000
23
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
5,000
23
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
29,000
24
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
23,000
24
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
10,000
25
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
3,000
28
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
30,000
28
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
10,000
20
American options
18/09/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
2,000
20.5
American options
18/12/2015
EUR 0.07 B Ordinary
Listed call-option
Purchase
8,000
21
American options
18/03/2016
EUR 0.07 B Ordinary
Listed call-option
Purchase
21,000
19.5
American options
18/09/15
EUR 0.07 B Ordinary
Listed call-option
Sale
2,000
18
American
17/06/2016
EUR 0.07 B Ordinary
Listed call-option
Sale
2,000
19
American
18/03/2016
EUR 0.07 B Ordinary
Listed call-option
Sale
10,000
19.5
American
21/08/2015
EUR 0.07 B Ordinary
Listed put-option
Sale
19,000
24
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Sale
10,000
28
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Sale
1,000
23.5
American
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
7,000
18
American
21/08/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
51,000
14
American options
18/03/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
40,000
20
American options
16/12/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
4,000
22
American options
18/09/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
3,000
16
American options
18/03/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
5,000
22
American options
18/03/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
28,000
18
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
5,000
16
American options
16/12/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
46,000
16
American options
18/09/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
23,000
16
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
55,000
18
American options
16/10/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
27,000
18
American options
17/06/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
45,000
18
American options
18/03/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
41,000
18
American options
18/09/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
102,000
18
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
20,000
18
American options
20/11/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
45,000
18
American options
16/12/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
1,000
19.500
American options
17/06/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
1,000
19.500
American options
16/10/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
3,000
19.500
American options
17/07/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
1,000
19.500
American options
21/08/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
6,000
19
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
10,000
20.500
American options
17/07/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
18,000
20.500
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
40,000
20
American options
17/06/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
20,000
20
American options
18/03/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
14,000
20
American options
18/09/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
26,000
20
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
11,000
21.500
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
12,000
21
American options
17/07/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
17,000
21
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
7,000
22.500
American options
18/09/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
10,000
22
American options
17/06/2016
EUR 0.07 B Ordinary
Listed put-option
Purchase
100,000
22
American options
18/12/2015
EUR 0.07 B Ordinary
Listed put-option
Purchase
31,000
19
American options
18/09/2015
EUR 0.07 B Ordinary
OTC call-option
Purchase
105,544
19.174
European options
18/09/2015
EUR 0.07 B Ordinary
OTC put-option
Purchase
105,544
19.174
European options
18/09/2015
This information is provided by RNSThe company news service from the London Stock ExchangeENDRETUNUSRVKANUAR
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