TIDMINTU TIDM80GT

RNS Number : 0313R

Intu Properties PLC

25 February 2019

TR-1: Standard form for notification of major holdings

 
 NOTIFICATION OF MAJOR HOLDINGS (to be sent to the relevant issuer and 
  to the FCA in Microsoft Word format if possible)(I) 
 
 1a. Identity of the issuer or the                                          Intu Properties Plc 
  underlying issuer of existing shares 
  to which voting rights are attached(ii) 
  : 
                                                             ------------------------------------------------- 
 1b. Please indicate if the issuer is a non-UK issuer (please mark with 
  an "X" if appropriate) 
 Non-UK issuer 
                                                                                                          ---- 
 2. Reason for the notification (please mark the appropriate box or boxes 
  with an "X") 
 An acquisition or disposal of voting rights                                                                X 
                                                                                                          ---- 
 An acquisition or disposal of financial instruments 
                                                                                                          ---- 
 An event changing the breakdown of voting rights 
                                                                                                          ---- 
 Other (please specify)(iii) : 
                                                                                                          ---- 
 3. Details of person subject to the notification obligation(iv) 
 Name                                                                                     JPMorgan Chase & Co. 
 City and country of registered office                                               Wilmington, Delaware, USA 
  (if applicable) 
 4. Full name of shareholder(s) (if different from 3.)(v) 
 Name                                                                               J.P. Morgan Securities plc 
                                                                     JPMorgan Chase Bank, National Association 
                                                             ------------------------------------------------- 
 City and country of registered office                                                  London, United Kingdom 
  (if applicable) 
                                                             ------------------------------------------------- 
 5. Date on which the threshold was                                                           20 February 2019 
  crossed or reached(vi) : 
                                                             ------------------------------------------------- 
 6. Date on which issuer notified (DD/MM/YYYY):                                               22 February 2019 
                                                             ------------------------------------------------- 
 7. Total positions of person(s) subject to the notification obligation 
                              % of voting        % of voting rights      Total of both     Total number 
                            rights attached       through financial        in % (8.A +      of voting rights 
                            to shares (total         instruments              8.B)          of issuer(vii) 
                                of 8. A)            (total of 8.B 
                                                     1 + 8.B 2) 
                          ------------------  -----------------------  -----------------  -------------------- 
 Resulting situation 
  on the date 
  on which threshold 
  was crossed 
  or reached                     0.18%                 5.78%                 5.96%            1,355,040,243 
                          ------------------  -----------------------  -----------------  -------------------- 
 Position of 
  previous notification 
  (if 
  applicable)                    0.27%                 5.73%                 6.00% 
                          ------------------  -----------------------  -----------------  -------------------- 
 
 
 
 8. Notified details of the resulting situation on the date on which the 
  threshold was crossed or reached(viii) 
 A: Voting rights attached to shares 
 Class/type of           Number of voting rights(ix)                                 % of voting rights 
  shares 
  ISIN code (if 
  possible) 
                                   Direct                       Indirect                      Direct                  Indirect 
                             (Art 9 of Directive          (Art 10 of Directive          (Art 9 of Directive     (Art 10 of Directive 
                                2004/109/EC)                  2004/109/EC)             2004/109/EC) (DTR5.1)        2004/109/EC) 
                                  (DTR5.1)                     (DTR5.2.1)                                            (DTR5.2.1) 
                                                     ----------------------------- 
     GB0006834344                                              2,394,749                                               0.18% 
                        ---------------------------  -----------------------------  -------------------------  --------------------- 
 
 
 SUBTOTAL 8. A                                   2,394,749                                                0.18% 
                        ----------------------------------------------------------  ------------------------------------------------ 
 
 B 1: Financial Instruments according to Art. 13(1)(a) of Directive 2004/109/EC 
  (DTR5.3.1.1 (a)) 
 Type of financial       Expiration             Exercise/                  Number of voting                     % of voting 
  instrument              date(x)                Conversion                 rights that may                      rights 
                                                 Period(xi)                 be acquired if 
                                                                            the instrument 
                                                                            is 
                                                                            exercised/converted. 
                        ---------------------  -------------------------  -----------------------------------  --------------------- 
    Right to Recall              N/A                      N/A                              1                           0.00% 
                        ---------------------  -------------------------  -----------------------------------  --------------------- 
                                                SUBTOTAL 8. 
                                                 B 1                                       1                           0.00% 
                                               -------------------------  -----------------------------------  --------------------- 
 
 B 2: Financial Instruments with similar economic effect according to 
  Art. 13(1)(b) of Directive 2004/109/EC (DTR5.3.1.1 (b)) 
 Type of         Expiration           Exercise/                    Physical                Number of            % of voting 
 financial        date(x)              Conversion Period            or cash                 voting rights        rights 
 instrument                            (xi)                         settlement(xii) 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          22/02/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          01/03/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          08/03/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          15/03/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          22/03/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          29/03/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          05/04/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          12/04/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          18/04/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          26/04/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          03/05/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          10/05/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          17/05/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          24/05/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          31/05/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          07/06/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          14/06/2019         Put: 255p Call:382.5p              Cash                1,065,165               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          21/06/2019         Put: 255p Call:382.5p              Cash                1,065,164               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          28/06/2019         Put: 255p Call:382.5p              Cash                1,065,163               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          05/07/2019         Put: 255p Call:382.5p              Cash                1,065,159               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          12/07/2019         Put: 255p Call:382.5p              Cash                1,065,152               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          19/07/2019         Put: 255p Call:382.5p              Cash                1,065,137               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          26/07/2019         Put: 255p Call:382.5p              Cash                1,065,113               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          02/08/2019         Put: 255p Call:382.5p              Cash                1,065,076               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          09/08/2019         Put: 255p Call:382.5p              Cash                1,065,020               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          16/08/2019         Put: 255p Call:382.5p              Cash                1,064,942               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          23/08/2019         Put: 255p Call:382.5p              Cash                1,064,837               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          30/08/2019         Put: 255p Call:382.5p              Cash                1,064,729               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          06/09/2019         Put: 255p Call:382.5p              Cash                1,064,564               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          13/09/2019         Put: 255p Call:382.5p              Cash                1,064,361               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          20/09/2019         Put: 255p Call:382.5p              Cash                1,064,116               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          27/09/2019         Put: 255p Call:382.5p              Cash                1,063,826               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          04/10/2019         Put: 255p Call:382.5p              Cash                1,063,489               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          11/10/2019         Put: 255p Call:382.5p              Cash                1,063,102               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          18/10/2019         Put: 255p Call:382.5p              Cash                1,062,665               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          25/10/2019         Put: 255p Call:382.5p              Cash                1,062,175               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          01/11/2019         Put: 255p Call:382.5p              Cash                1,061,632               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          08/11/2019         Put: 255p Call:382.5p              Cash                1,061,036               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          15/11/2019         Put: 255p Call:382.5p              Cash                1,060,386               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          22/11/2019         Put: 255p Call:382.5p              Cash                1,059,684               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          29/11/2019         Put: 255p Call:382.5p              Cash                1,058,928               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          06/12/2019         Put: 255p Call:382.5p              Cash                1,058,121               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          13/12/2019         Put: 255p Call:382.5p              Cash                1,057,263               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash Settled 
  Call or Put 
    Option*          20/12/2019         Put: 255p Call:382.5p              Cash                1,056,354               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        28/02/2019               28/02/2019                   Cash                1,000,000               0.07% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        04/03/2019               04/03/2019                   Cash                  10,191                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        02/04/2019               02/04/2019                   Cash                  13,390                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        12/04/2019               12/04/2019                   Cash                1,300,875               0.10% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        18/04/2019               18/04/2019                   Cash                  33,635                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        02/05/2019               02/05/2019                   Cash                  2,181                 0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        22/05/2019               22/05/2019                   Cash                2,100,000               0.15% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        12/06/2019               12/06/2019                   Cash                  13,531                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        18/06/2019               18/06/2019                   Cash                 892,358                0.07% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        02/07/2019               02/07/2019                   Cash                  17,693                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        30/07/2019               30/07/2019                   Cash                 581,502                0.04% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        02/08/2019               02/08/2019                   Cash                  9,435                 0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        05/08/2019               05/08/2019                   Cash                1,046,162               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        03/09/2019               03/09/2019                   Cash                  25,190                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        18/09/2019               18/09/2019                   Cash                11,091,875              0.82% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        02/10/2019               02/10/2019                   Cash                 293,288                0.02% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        09/10/2019               09/10/2019                   Cash                  84,377                0.01% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        04/11/2019               04/11/2019                   Cash                 366,015                0.03% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        27/11/2019               27/11/2019                   Cash                1,365,396               0.10% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        03/12/2019               03/12/2019                   Cash                 188,947                0.01% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        05/12/2019               05/12/2019                   Cash                 500,000                0.04% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        03/01/2020               03/01/2020                   Cash                  81,647                0.01% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        07/01/2020               07/01/2020                   Cash                 846,955                0.06% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        15/01/2020               15/01/2020                   Cash                  22,241                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        04/02/2020               04/02/2020                   Cash                  37,089                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        06/02/2020               06/02/2020                   Cash                 190,478                0.01% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        13/02/2020               13/02/2020                   Cash                  20,090                0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        24/02/2020               24/02/2020                   Cash                 129,272                0.01% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        28/02/2020               28/02/2020                   Cash                1,118,185               0.08% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        03/03/2020               03/03/2020                   Cash                  4,991                 0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        09/03/2020               09/03/2020                   Cash                1,522,940               0.11% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        17/03/2020               17/03/2020                   Cash                4,243,589               0.31% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        18/03/2020               18/03/2020                   Cash                  7,356                 0.00% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        24/03/2020               24/03/2020                   Cash                 403,255                0.03% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        23/07/2020               23/07/2020                   Cash                 389,437                0.03% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        14/08/2020               14/08/2020                   Cash                 438,913                0.03% 
                -------------------  ---------------------------  ----------------------  ------------------- 
 Cash-settled 
  Equity Swap        26/07/2023               26/07/2023                   Cash                1,184,968               0.09% 
                -------------------  ---------------------------  ----------------------  ------------------- 
                                                                   SUBTOTAL 
                                                                    8.B.2                       78,382,442             5.78% 
                                                                  ----------------------  ------------------- 
 
 

* Please note that either a call or a put option (but not both) can be exercised upon maturity, depending on the share price of Intu Properties Plc.

 
 9. Information in relation to the person subject to the notification 
  obligation (please mark the 
  applicable box with an "X") 
 Person subject to the notification obligation is not controlled 
  by any natural person or legal entity and does not control any other 
  undertaking(s) holding directly or indirectly an interest in the 
  (underlying) issuer(xiii) 
 Full chain of controlled undertakings through which the voting rights                             X 
  and/or the 
  financial instruments are effectively held starting with the ultimate 
  controlling natural person or legal entity(xiv) (please add additional 
  rows as necessary) 
          Name(xv)              % of voting rights      % of voting rights       Total of both if 
                                  if it equals or        through financial        it equals or is 
                                is higher than the       instruments if it        higher than the 
                               notifiable threshold     equals or is higher     notifiable threshold 
                                                        than the notifiable 
                                                             threshold 
                             -----------------------  ---------------------  ------------------------ 
 JPMorgan Chase & 
  Co. 
                             -----------------------  ---------------------  ------------------------ 
 JPMorgan Chase Bank, 
  National Association 
                             -----------------------  ---------------------  ------------------------ 
 J.P. Morgan International 
  Finance Limited 
                             -----------------------  ---------------------  ------------------------ 
 J.P. Morgan Capital 
  Holdings Limited 
                             -----------------------  ---------------------  ------------------------ 
 J.P. Morgan Securities 
  plc                                                         5.78%                    5.96% 
                                                      ---------------------  ------------------------ 
 
 JPMorgan Chase & 
  Co. 
                                                      ---------------------  ------------------------ 
 JPMorgan Chase Bank, 
  National Association 
                                                      ---------------------  ------------------------ 
 
 10. In case of proxy voting, please identify: 
 Name of the proxy holder                                                                         N/A 
                                                      ----------------------------------------------- 
 The number and % of voting rights                                                                N/A 
  held 
                                                      ----------------------------------------------- 
 The date until which the voting rights                                                           N/A 
  will be held 
                                                      ----------------------------------------------- 
 
 11. Additional information(xvi) 
 
   Table 8A) Includes stock borrows of 71,854,187 (5.30%) 
 
   Chain of controlled undertakings: 
 
   JPMorgan Chase & Co. 
   JPMorgan Chase Bank, National Association (100%) 
   J.P. Morgan International Finance Limited (100%) 
   J.P. Morgan Capital Holdings Limited (100%) 
   J.P. Morgan Securities plc (100%) 
 
   JPMorgan Chase & Co. 
   JPMorgan Chase Bank, National Association (100%) 
 
 
 
 Place of completion   London, United Kingdom 
 Date of completion          22 February 2019 
                      ----------------------- 
 

Notes

(i) Please note that national forms may vary due to specific national legislation (Article 3(1a) of Directive 2004/109/EC) as for instance the applicable thresholds or information regarding capital holdings.

(ii) Full name of the legal entity and further specification of the issuer or underlying issuer, provided it is reliable and accurate (e.g. address, LEI, domestic number identity). Indicate in the relevant section whether the issuer is a non UK issuer.

(iii) Other reason for the notification could be voluntary notifications, changes of attribution of the nature of the holding (e.g. expiring of financial instruments) or acting in concert.

(iv) This should be the full name of (a) the shareholder; (b) the natural person or legal entity acquiring, disposing of or exercising voting rights in the cases provided for in DTR5.2.1 (b) to (h)/ Article 10 (b) to (h) of Directive 2004/109/EC; (c) all parties to the agreement referred to in Article 10 (a) of Directive 2004/109/EC (DTR5.2.1 (a)) or (d) the holder of financial instruments referred to in Article 13(1) of Directive 2004/109/EC (DTR5.3.1).

As the disclosure of cases of acting in concert may vary due to the specific circumstances (e.g. same or different total positions of the parties, entering or exiting of acting in concert by a single party) the standard form does not provide for a specific method how to notify cases of acting in concert.

In relation to the transactions referred to in points (b) to (h) of Article 10 of Directive 2004/109/EC (DTR5.2.1 (b) to (h)), the following list is provided as indication of the persons who should be mentioned:

- in the circumstances foreseen in letter (b) of Article 10 of that Directive (DTR5.2.1 (b)), the natural person or legal entity that acquires the voting rights and is entitled to exercise them under the agreement and the natural person or legal entity who is transferring temporarily for consideration the voting rights;

- in the circumstances foreseen in letter (c) of Article 10 of that Directive (DTR5.2.1 (c)), the natural person or legal entity holding the collateral, provided the person or entity controls the voting rights and declares its intention of exercising them, and natural person or legal entity lodging the collateral under these conditions;

- in the circumstances foreseen in letter (d) of Article 10 of that Directive (DTR5.2.1 (d)), the natural person or legal entity who has a life interest in shares if that person or entity is entitled to exercise the voting rights attached to the shares and the natural person or legal entity who is disposing of the voting rights when the life interest is created;

- in the circumstances foreseen in letter (e) of Article 10 of that Directive (DTR5.2.1 (e)), the controlling natural person or legal entity and, provided it has a notification duty at an individual level under Article 9 (DTR 5.1), under letters (a) to (d) of Article 10 of that Directive (DTR5.2.1 (a) to (d)) or under a combination of any of those situations, the controlled undertaking;

- in the circumstances foreseen in letter (f) of Article 10 of that Directive (DTR5.2.1 (f)), the deposit taker of the shares, if he can exercise the voting rights attached to the shares deposited with him at his discretion, and the depositor of the shares allowing the deposit taker to exercise the voting rights at his discretion;

- in the circumstances foreseen in letter (g) of Article 10 of that Directive (DTR5.2.1 (g)), the natural person or legal entity that controls the voting rights;

- in the circumstances foreseen in letter (h) of Article 10 of that Directive (DTR5.2.1 (h)), the proxy holder, if he can exercise the voting rights at his discretion, and the shareholder who has given his proxy to the proxy holder allowing the latter to exercise the voting rights at his discretion (e.g. management companies).

(v) Applicable in the cases provided for in Article 10 (b) to (h) of Directive 2004/109/EC (DTR5.2.1 (b) to (h). This should be the full name of the shareholder who is the counterparty to the natural person or legal entity referred to in Article 10 of that Directive (DTR5.2) unless the percentage of voting rights held by the shareholder is lower than the lowest notifiable threshold for the disclosure of voting rights holdings in accordance with national practices (e.g. identification of funds managed by management companies).

(vi) The date on which threshold is crossed or reached should be the date on which the acquisition or disposal took place or the other reason triggered the notification obligation. For passive crossings, the date when the corporate event took effect.

(vii) The total number of voting rights shall be composed of all the shares, including depository receipts representing shares, to which voting rights are attached even if the exercise thereof is suspended.

(viii) If the holding has fallen below the lowest applicable threshold in accordance with national law, please note that it might not be necessary in accordance with national law to disclose the extent of the holding, only that the new holding is below that threshold.

(ix) In case of combined holdings of shares with voting rights attached "direct holding" and voting rights "indirect holding", please split the voting rights number and percentage into the direct and indirect columns - if there is no combined holdings, please leave the relevant box blank.

(x) Date of maturity/expiration of the financial instrument i.e. the date when right to acquire shares ends.

(xi) If the financial instrument has such a period - please specify this period - for example once every 3 months starting from [date].

(xii) In case of cash settled instruments the number and percentages of voting rights is to be presented on a delta-adjusted basis (Article 13(1a) of Directive 2004/109/EC) (DTR 5.3.3.A).

(xiii) If the person subject to the notification obligation is either controlled and/or does control another undertaking then the second option applies.

(xiv) The full chain of controlled undertakings starting with the ultimate controlling natural person or legal entity has to be presented also in the cases, in which only on subsidiary level a threshold is crossed or reached and the subsidiary undertaking discloses the notification as only thus the markets get always the full picture of the group holdings. In case of multiple chains through which the voting rights and/or financial instruments are effectively held the chains have to be presented chain by chain leaving a row free between different chains (e.g.: A, B, C, free row, A, B, D, free row, A, E, F etc.).

(xv) The names of controlled undertakings through which the voting rights and/or financial instruments are effectively held have to be presented irrespectively whether the controlled undertakings cross or reach the lowest applicable threshold themselves.

(xvi) Example: Correction of a previous notification.

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END

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February 25, 2019 09:00 ET (14:00 GMT)

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