TIDMSTCK

RNS Number : 3750W

Stock Spirits Group PLC

08 February 2017

 
 TR-1: NOTIFICATION OF MAJOR INTEREST IN SHARES(i) 
-------------------------------------------------- 
 
 
 
 1. Identity of the issuer or                                                         ISIN: GB00BF5SDZ96 
  the underlying issuer                                                        NAME: STOCK SPIRITS GROUP 
  of existing shares to which                                                                        PLC 
  voting rights are 
  attached: (ii) 
-----------------------------------------------------------  ------------------------------------------- 
 2 Reason for the notification (please tick the appropriate 
  box or boxes): 
-------------------------------------------------------------------------------------------------------- 
 An acquisition or disposal of voting rights                                       x 
------------------------------------------------------------  ------------------------------------------ 
 An acquisition or disposal of qualifying financial 
  instruments which may result in the acquisition 
  of shares already issued to which voting rights 
  are attached 
------------------------------------------------------------  ------------------------------------------ 
 An acquisition or disposal of instruments with 
  similar economic effect to qualifying financial 
  instruments 
------------------------------------------------------------  ------------------------------------------ 
 An event changing the breakdown of voting rights 
------------------------------------------------------------  ------------------------------------------ 
 Other (please 
  specify): 
----------------------------------------------------------    ------------------------------------------ 
 3. Full name of person(s)                                          AZVALOR ASSET MANAGEMENT S.G.I.I.C., 
  subject to the                                                                                    S.A. 
  notification obligation: 
  (iii) 
-----------------------------------------------------------  ------------------------------------------- 
 4. Full name of shareholder(s)                                                   AZVALOR INTERNACIONAL, 
  (if different from 3.):(iv)                                     FI                        ES0112611001 
                                                                -------------------------  ------------- 
                                                                                         MC SICAV S.A. - 
                                                                  AZVALOR INTERNATIONAL     LU1333146287 
                                                                -------------------------  ------------- 
                                                                                ALPHA GENESIS INVESTMENT 
                                                                  FUND                      LU1372006947 
                                                                -------------------------  ------------- 
                                                                                AZVALOR VALUE SELECTION, 
                                                                  SICAV, S.A.               ES0126841032 
                                                                -------------------------  ------------- 
                                                                                      SWEET INVEST SICAV 
                                                                  SA                        ES0176928002 
                                                                -------------------------  ------------- 
                                                                                   MANAGEMENT PORTFOLIO: 
                                                                -------------------------  ------------- 
                                                                                      OMEGA (ASPEN TRUST 
                                                                                               SERVICES) 
                                                                -------------------------  ------------- 
                                                                                      SALUS (ASPEN TRUST 
                                                                                               SERVICES) 
                                                                -------------------------  ------------- 
-----------------------------------------------------------  ------------------------------------------- 
 5. Date of the transaction                                                                   06/02/2017 
  and date on 
  which the threshold is 
  crossed or 
  reached: (v) 
-----------------------------------------------------------  ------------------------------------------- 
 6. Date on which issuer                                                                      08/02/2017 
  notified: 
-----------------------------------------------------------  ------------------------------------------- 
 7. Threshold(s) that is/are 
  crossed or 
  reached: (vi, vii)                                                                              2.974% 
-----------------------------------------------------------  ------------------------------------------- 
 
 
 
 8. Notified details: 
----------------------------------------------------------------------------------------------------------------------- 
 A: Voting rights attached to shares (viii, ix) 
----------------------------------------------------------------------------------------------------------------------- 
 Class/type       Situation previous                 Resulting situation after the 
  of               to the triggering                  triggering transaction 
  shares           transaction 
 
  if possible 
  using 
  the ISIN 
  CODE 
---------------  ---------------------------------  ------------------------------------------------------------------- 
                  Number          Number             Number          Number of                 % of voting 
                   of              of                 of shares       voting                    rights (x) 
                   Shares          Voting                             rights 
                                   Rights 
-------------    --------------  -----------------  --------------  ------------------------  ------------------------- 
                                                     Direct          Direct      Indirect      Direct        Indirect 
                                                                      (xi)        (xii) 
-------------      ------------    -------------    --------------  ----------  ------------  ------------  ----------- 
 GB00BF5SDZ96     6040100         6040100            5947966         5947966                   2.974%        2.974% 
                 --------------  -----------------  --------------  ----------  ------------  ------------  ----------- 
 
 
 B: Qualifying Financial Instruments 
----------------------------------------------------------------------------------------------------------------------- 
 Resulting situation after the triggering transaction 
----------------------------------------------------------------------------------------------------------------------- 
 Type of            Expiration      Exercise/                          Number of voting            % of voting 
 financial           date            Conversion                         rights that                 rights 
 instrument          (xiii)          Period (xiv)                       may be 
                                                                        acquired if 
                                                                        the 
                                                                        instrument 
                                                                        is 
                                                                        exercised/ 
                                                                        converted. 
-----------------  --------------  ---------------------------------  --------------------------  --------------------- 
 
 
 C: Financial Instruments with similar economic effect 
  to Qualifying Financial Instruments (xv, xvi) 
----------------------------------------------------------------------------------------------------------------------- 
 Resulting situation after the triggering transaction 
----------------------------------------------------------------------------------------------------------------------- 
 Type of        Exercise          Expiration       Exercise/         Number of voting            % of voting 
 financial      price             date             Conversion         rights instrument           rights (xix, 
 instrument                       (xvii)           period             refers to                   xx) 
                                                   (xviii) 
-------------  ----------------  ---------------  ----------------  --------------------------  ----------------------- 
                                                                                                 Nominal       Delta 
-------------  ----------------  ---------------  ----------------  --------------------------  ------------  --------- 
 
 
 Total (A+B+C) 
----------------------------------------------------------------------------------------------------------------------- 
 Number of voting rights                               Percentage of voting rights 
----------------------------------------------------  ----------------------------------------------------------------- 
 5947966                                               2.974% 
----------------------------------------------------  ----------------------------------------------------------------- 
 
 
 
 9. Chain of controlled undertakings through which the 
  voting rights and/or the 
  financial instruments are effectively held, if applicable: 
  (xxi) 
---------------------------------------------------------------------------------------------------------------- 
                                         INVESTMENT VEHICLE             ISIN              N SHARES             % 
                                ------------------------------  --------------  ----------------------  -------- 
                                                                                          AZVALOR INTERNACIONAL, 
                                  FI                             ES0112611001      4.551.253,00          2,2756% 
                                ------------------------------  --------------  ----------------------  -------- 
                                                                                         MC SICAV S.A. - AZVALOR 
                                  INTERNATIONAL                  LU1333146287      981.635,00            0,4908% 
                                ------------------------------  --------------  ----------------------  -------- 
                                                                                        ALPHA GENESIS INVESTMENT 
                                  FUND                           LU1372006947    73.217,00               0,0366% 
                                ------------------------------  --------------  ----------------------  -------- 
                                                                                        AZVALOR VALUE SELECTION, 
                                  SICAV, S.A.                    ES0126841032    254.403,00              0,1272% 
                                ------------------------------  --------------  ----------------------  -------- 
                                 SWEET INVEST SICAV S.A.         ES0176928002    39.607,00               0,0198% 
                                ------------------------------  --------------  ----------------------  -------- 
                                                                                           MANAGEMENT PORTFOLIO: 
                                ------------------------------  --------------  ----------------------  -------- 
                                 OMEGA (ASPEN TRUST SERVICES)                    23.795,00               0,0119% 
                                ----------------------------------------------  ----------------------  -------- 
                                 SALUS (ASPEN TRUST SERVICES)                    24.056,00               0,0120% 
                                ----------------------------------------------  ----------------------  -------- 
 
                                  TOTAL:                                                     5.947.966   2,9740% 
                                 ---------------------------------------------  ----------------------  -------- 
 
 Proxy Voting: 
---------------------------------------------------------------------------------------------------------------- 
 10. Name of the proxy holder: 
------------------------------------------------------------------------------------  -------------------------- 
 11. Number of voting rights proxy 
  holder will cease 
  to hold: 
------------------------------------------------------------------------------------  -------------------------- 
 12. Date on which proxy holder will 
  cease to hold 
  voting rights: 
------------------------------------------------------------------------------------  -------------------------- 
 
 
  13. Additional information: 
------------------------------------------------------------------------------------  -------------------------- 
 14. Contact name:                                                                     Javier Casamayor Puigvert 
------------------------------------------------------------------------------------  -------------------------- 
 15. Contact telephone number:                                                                  +34 91 737 80 38 
------------------------------------------------------------------------------------  -------------------------- 
 
 

This information is provided by RNS

The company news service from the London Stock Exchange

END

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February 08, 2017 10:19 ET (15:19 GMT)

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