RNS Number : 9060L SIH Partners LLLP 10 July 2026  

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:

SIH Partners, LLLP

(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.

SIH Partners, LLLP is part of Susquehanna International Group of Companies

(c) Name of offeror/offeree in relation to whose relevant securities this form relates:

Use a separate form for each offeror/offeree

AMG Lithium B.V. (a direct wholly-owned subsidiary of AMG Critical Materials N.V.)

(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

09/07/2026

(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"

No

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 0.02 ordinary

Interests

Short positions

Number

%

Number

%

(1) Relevant securities owned and/or controlled:

189,806

0.53

7,196

0.02

(2) Cash-settled derivatives:

0

0.00

0

0.00

(3) Stock-settled derivatives (including options) and agreements to purchase/sell:

281,300

0.79

804,200

2.25

TOTAL:

471,106

1.32

811,396

2.27

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

EUR 0.02 ordinary

Purchase

300

32.42

EUR 0.02 ordinary

Purchase

17

32.42

EUR 0.02 ordinary

Purchase

94

32.42

EUR 0.02 ordinary

Purchase

150

32.42

EUR 0.02 ordinary

Purchase

125

32.42

EUR 0.02 ordinary

Purchase

95

32.42

EUR 0.02 ordinary

Purchase

749

32.42

EUR 0.02 ordinary

Sale

466

32.3

(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

(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

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 36

American

21/08/2026

4.8

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 37

American

21/08/2026

0.7

EUR 0.02 ordinary

Listed Call Option

Purchasing

1000

EUR 32

American

21/08/2026

2.25

EUR 0.02 ordinary

Listed Call Option

Purchasing

200

EUR 34

American

21/08/2026

1.5

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 34

American

21/08/2026

1.4

EUR 0.02 ordinary

Listed Call Option

Written

2000

EUR 35

American

21/08/2026

1.1

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 35

American

21/08/2026

1.1

EUR 0.02 ordinary

Listed Put Option

Purchasing

100

EUR 30

American

21/08/2026

1.35

EUR 0.02 ordinary

Listed Put Option

Purchasing

200

EUR 30

American

21/08/2026

1.4

EUR 0.02 ordinary

Listed Put Option

Purchasing

100

EUR 35

American

18/12/2026

5.7

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 40

American

18/06/2027

3.45

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 35

American

18/06/2027

5

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 34

American

18/09/2026

2

EUR 0.02 ordinary

Listed Put Option

Purchasing

100

EUR 30.5

American

17/07/2026

0.38

EUR 0.02 ordinary

Listed Put Option

Purchasing

100

EUR 31.5

American

17/07/2026

0.6

EUR 0.02 ordinary

Listed Put Option

Purchasing

1000

EUR 31.5

American

17/07/2026

0.6

EUR 0.02 ordinary

Listed Put Option

Purchasing

200

EUR 32.5

American

17/07/2026

1.1

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 33.5

American

17/07/2026

0.43

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 50

American

18/12/2026

0.64

EUR 0.02 ordinary

Listed Put Option

Purchasing

100

EUR 32

American

17/07/2026

0.9

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 34

American

17/07/2026

0.4

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 35

American

17/07/2026

0.18

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 35

American

17/07/2026

0.17

EUR 0.02 ordinary

Listed Put Option

Written

200

EUR 35

American

17/07/2026

3.25

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 35

American

17/07/2026

3

EUR 0.02 ordinary

Listed Put Option

Written

400

EUR 37

American

17/07/2026

4.9

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 38

American

17/07/2026

6

EUR 0.02 ordinary

Listed Put Option

Written

300

EUR 40

American

17/07/2026

7.65

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 40

American

17/07/2026

7.7

EUR 0.02 ordinary

Listed Put Option

Written

400

EUR 40

American

17/07/2026

7.7

EUR 0.02 ordinary

Listed Put Option

Written

200

EUR 40

American

17/07/2026

7.7

EUR 0.02 ordinary

Listed Put Option

Written

1000

EUR 40

American

17/07/2026

7.95

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 40

American

17/07/2026

7.75

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 36

American

17/07/2026

0.1

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 36

American

17/07/2026

0.1

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 36

American

18/09/2026

1.3

EUR 0.02 ordinary

Listed Call Option

Written

300

EUR 36

American

18/09/2026

1.4

EUR 0.02 ordinary

Listed Call Option

Purchasing

100

EUR 15

American

18/12/2026

17.25

EUR 0.02 ordinary

Listed Call Option

Written

2000

EUR 34

American

18/06/2027

5.25

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 32

American

18/06/2027

6.2

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 42

American

18/12/2026

1.45

EUR 0.02 ordinary

Listed Put Option

Written

3000

EUR 30

American

21/08/2026

1.4

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 40

American

21/08/2026

0.38

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 34

American

18/06/2027

5.5

(ii)        Exercise

  • 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"

  • 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:

10 July 2026

Contact name:

Richard Hynes

Telephone number:

+353-1-247-8530

Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service.  The Panel's Market Surveillance Unit is available for consultation in relation to the Code's disclosure requirements on +44 (0)20 7638 0129.

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")

e.         KEY INFORMATION

Full name of person making disclosure:

SIH Partners, LLLP

Name of offeror/offeree in relation to whose relevant securities the disclosure relates:

AMG Lithium B.V. (a direct wholly-owned subsidiary of AMG Critical Materials N.V.)

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 0.02 ordinary

Listed Call Option

Written

400

EUR 32

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

1200

EUR 32.5

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

400

EUR 33

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

2000

EUR 33.5

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

1000

EUR 34

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

4500

EUR 34.5

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

2200

EUR 35

American

20260710

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 35.5

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 31

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 31.5

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

700

EUR 32

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

900

EUR 32.5

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 33

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 34.5

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

2100

EUR 35

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 36

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 37

American

20260710

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 30

American

20260724

EUR 0.02 ordinary

Listed Call Option

Purchased

1800

EUR 52

American

20270319

EUR 0.02 ordinary

Listed Put Option

Written

600

EUR 34

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 34

American

20270618

EUR 0.02 ordinary

Listed Call Option

Purchased

2000

EUR 32.5

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

600

EUR 33

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 44

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 30.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Written

1500

EUR 32

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

2100

EUR 34

American

20260717

EUR 0.02 ordinary

Listed Put Option

Written

4000

EUR 35

American

20260717

EUR 0.02 ordinary

Listed Put Option

Written

4000

EUR 36

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

5000

EUR 40

American

20260821

EUR 0.02 ordinary

Listed Put Option

Written

2000

EUR 38

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

14500

EUR 44

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

6000

EUR 30

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

300

EUR 34

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

1500

EUR 36

American

20260918

EUR 0.02 ordinary

Listed Call Option

Written

2000

EUR 40

American

20271217

EUR 0.02 ordinary

Listed Call Option

Purchased

200

EUR 16

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 28

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 32

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

700

EUR 34

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

1500

EUR 46

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 24

American

20261218

EUR 0.02 ordinary

Listed Put Option

Written

1000

EUR 30

American

20261218

EUR 0.02 ordinary

Listed Put Option

Written

1700

EUR 32

American

20261218

EUR 0.02 ordinary

Listed Put Option

Written

1000

EUR 36

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 40

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

700

EUR 10

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

4000

EUR 100

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

4400

EUR 14

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 15

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

14400

EUR 16

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

10900

EUR 18

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

26800

EUR 20

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

12400

EUR 22

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 23

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

15100

EUR 24

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 25

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

3700

EUR 26

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 27

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

1300

EUR 28

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 29

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

1400

EUR 30

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

8800

EUR 32

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

3500

EUR 34

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

2900

EUR 35

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

14700

EUR 36

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

12300

EUR 38

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

1300

EUR 40

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

14200

EUR 42

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

1400

EUR 44

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

2200

EUR 45

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

1600

EUR 50

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

3200

EUR 55

American

20261218

EUR 0.02 ordinary

Listed Call Option

Written

2200

EUR 60

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

9800

EUR 12

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

23600

EUR 14

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

6600

EUR 15

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

32400

EUR 16

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

18300

EUR 18

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

4700

EUR 20

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

38800

EUR 22

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

6500

EUR 24

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1100

EUR 25

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

11100

EUR 26

American

20261218

EUR 0.02 ordinary

Listed Put Option

Written

1300

EUR 27

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

3000

EUR 28

American

20261218

EUR 0.02 ordinary

Listed Put Option

Written

900

EUR 29

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

21600

EUR 30

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

3400

EUR 32

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 34

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

4500

EUR 35

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

800

EUR 36

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 38

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1600

EUR 40

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1300

EUR 42

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1800

EUR 45

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

900

EUR 50

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1300

EUR 60

American

20261218

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 80

American

20261218

EUR 0.02 ordinary

Listed Call Option

Purchased

200

EUR 10

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 14

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

1600

EUR 16

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 20

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 22

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

2300

EUR 24

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

4800

EUR 26

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

1600

EUR 28

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

17400

EUR 30

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

8900

EUR 35

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

17100

EUR 40

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

800

EUR 45

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

900

EUR 55

American

20271217

EUR 0.02 ordinary

Listed Call Option

Written

800

EUR 60

American

20271217

EUR 0.02 ordinary

Listed Call Option

Purchased

3900

EUR 90

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

300

EUR 16

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

1500

EUR 18

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

4200

EUR 20

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

2500

EUR 22

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

600

EUR 24

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 26

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

500

EUR 28

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 30

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

1900

EUR 35

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

500

EUR 40

American

20271217

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 45

American

20271217

EUR 0.02 ordinary

Listed Call Option

Purchased

2100

EUR 14

American

20291221

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 24

American

20291221

EUR 0.02 ordinary

Listed Put Option

Purchased

5200

EUR 14

American

20291221

EUR 0.02 ordinary

Listed Put Option

Purchased

1800

EUR 20

American

20291221

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 24

American

20291221

EUR 0.02 ordinary

Listed Put Option

Purchased

4500

EUR 40

American

20291221

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 20

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 25

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

800

EUR 27

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 28

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 29

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

900

EUR 30

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

600

EUR 32

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

2200

EUR 34

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

7900

EUR 36

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

4400

EUR 38

American

20270319

EUR 0.02 ordinary

Listed Call Option

Purchased

4600

EUR 40

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 44

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 45

American

20270319

EUR 0.02 ordinary

Listed Call Option

Purchased

1300

EUR 50

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 55

American

20270319

EUR 0.02 ordinary

Listed Call Option

Purchased

2100

EUR 70

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

300

EUR 20

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 24

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 28

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 32

American

20270319

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 34

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

700

EUR 36

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

300

EUR 40

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 42

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 45

American

20270319

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 50

American

20270319

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 18

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

14200

EUR 20

American

20270618

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 22

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

300

EUR 24

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

2000

EUR 25

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 26

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 28

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

2200

EUR 30

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 32

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

2100

EUR 34

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

8200

EUR 35

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

2800

EUR 40

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

100

EUR 42

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 45

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

12200

EUR 50

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

3900

EUR 55

American

20270618

EUR 0.02 ordinary

Listed Call Option

Purchased

200

EUR 60

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 18

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

2200

EUR 20

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 22

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 24

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

1100

EUR 25

American

20270618

EUR 0.02 ordinary

Listed Put Option

Written

4000

EUR 26

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 28

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

1300

EUR 30

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 32

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

2800

EUR 35

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

800

EUR 40

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

400

EUR 45

American

20270618

EUR 0.02 ordinary

Listed Put Option

Written

4700

EUR 50

American

20270618

EUR 0.02 ordinary

Listed Put Option

Purchased

2200

EUR 80

American

20270618

EUR 0.02 ordinary

Listed Call Option

Written

1000

EUR 20

American

20280616

EUR 0.02 ordinary

Listed Put Option

Purchased

1000

EUR 40

American

20280616

EUR 0.02 ordinary

Listed Call Option

Purchased

3100

EUR 30

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

400

EUR 31

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

400

EUR 32

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

1700

EUR 33

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

700

EUR 33.5

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

17300

EUR 34

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

200

EUR 34.5

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

1300

EUR 35

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

21300

EUR 36

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

9600

EUR 37

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

17100

EUR 38

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

300

EUR 39

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

2100

EUR 40

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

4400

EUR 41

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

17200

EUR 42

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

1800

EUR 43

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

3100

EUR 44

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

300

EUR 45

American

20260717

EUR 0.02 ordinary

Listed Call Option

Purchased

900

EUR 46

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

5200

EUR 48

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

900

EUR 27

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

2400

EUR 28

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 28.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

8300

EUR 29

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

4600

EUR 29.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 29.8

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

5400

EUR 30

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

2200

EUR 30.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

9200

EUR 31

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

1200

EUR 31.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

12000

EUR 32

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

800

EUR 32.5

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

7100

EUR 33

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

16800

EUR 34

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

9100

EUR 35

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

12300

EUR 36

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

2100

EUR 37

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

4100

EUR 38

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 39

American

20260717

EUR 0.02 ordinary

Listed Put Option

Written

1500

EUR 40

American

20260717

EUR 0.02 ordinary

Listed Put Option

Purchased

900

EUR 41

American

20260717

EUR 0.02 ordinary

Listed Put Option

Written

300

EUR 42

American

20260717

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 24

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

1800

EUR 30

American

20260821

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 32

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

600

EUR 33

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

800

EUR 34

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

4400

EUR 35

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

1300

EUR 36

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

2000

EUR 37

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

700

EUR 38

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

1000

EUR 39

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

3200

EUR 40

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 41

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

2900

EUR 42

American

20260821

EUR 0.02 ordinary

Listed Call Option

Written

2100

EUR 43

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

1400

EUR 44

American

20260821

EUR 0.02 ordinary

Listed Call Option

Written

1200

EUR 45

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

300

EUR 46

American

20260821

EUR 0.02 ordinary

Listed Call Option

Purchased

900

EUR 48

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

600

EUR 26

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

400

EUR 28

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 28.5

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

700

EUR 29

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 29.5

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

14700

EUR 30

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

7000

EUR 31

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

2500

EUR 32

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

1200

EUR 33

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

3400

EUR 34

American

20260821

EUR 0.02 ordinary

Listed Put Option

Written

1400

EUR 35

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

2500

EUR 36

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

600

EUR 37

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 38

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 40

American

20260821

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 42

American

20260821

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 19

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

900

EUR 20

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

2600

EUR 25

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

1400

EUR 26

American

20260918

EUR 0.02 ordinary

Listed Call Option

Written

200

EUR 27

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

6100

EUR 28

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

600

EUR 29

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

2600

EUR 30

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

7500

EUR 32

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

100

EUR 33

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

10700

EUR 34

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

6500

EUR 35

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

24300

EUR 36

American

20260918

EUR 0.02 ordinary

Listed Call Option

Written

500

EUR 37

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

2200

EUR 38

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

12100

EUR 40

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

42000

EUR 42

American

20260918

EUR 0.02 ordinary

Listed Call Option

Written

2500

EUR 44

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

4800

EUR 45

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

400

EUR 46

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

3000

EUR 50

American

20260918

EUR 0.02 ordinary

Listed Call Option

Purchased

500

EUR 55

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 16

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

600

EUR 18

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 20

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

800

EUR 21

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

800

EUR 22

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

2200

EUR 23

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

300

EUR 24

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

500

EUR 25

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

100

EUR 26

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

300

EUR 27

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 28

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

500

EUR 28.5

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

700

EUR 29

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 29.5

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

9000

EUR 30

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

7900

EUR 32

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

200

EUR 33

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

18900

EUR 34

American

20260918

EUR 0.02 ordinary

Listed Put Option

Written

0

EUR 35

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

2000

EUR 36

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

3500

EUR 38

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

3400

EUR 40

American

20260918

EUR 0.02 ordinary

Listed Put Option

Purchased

100

EUR 44

American

20260918

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:

  • None

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.

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