Form 8.3 - Qualcomm Incorporated.


    13 May 2025 11:26:33
  • Source: Sharecast
RNS Number : 4743I
BNP Paribas London
13 May 2025
 

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:

BNP Paribas SA

(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

Qualcomm Incorporated

(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

12/05/2025

(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

If YES, specify which:

Alphawave IP 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:

 

US7475251036 (USD 0.0001 common)

 

 

Interests

Short positions

 

Number

%

Number

%

(1) Relevant securities owned and/or controlled:

5,101,782

0.4675

-4,777,268

-0.4378

(2) Cash-settled derivatives:

1,000,828

0.0917

-1,649,401

-0.1511

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

1,433,900

0.1314

-4,217,565

-0.3865

TOTAL:

7,536,510

0.6906

-10,644,234

-0.9754

 

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

US7475251036

Purchase

1

136.5400 EUR

US7475251036

Purchase

1

151.0500 USD

US7475251036

Purchase

1

151.4150 USD

US7475251036

Purchase

1

151.5100 USD

US7475251036

Purchase

1

151.5427 USD

US7475251036

Purchase

1

151.5600 USD

US7475251036

Purchase

1

151.5900 USD

US7475251036

Purchase

1

152.1200 USD

US7475251036

Purchase

2

151.0500 USD

US7475251036

Purchase

2

151.4000 USD

US7475251036

Purchase

2

153.9500 USD

US7475251036

Purchase

3

151.3650 USD

US7475251036

Purchase

3

152.1200 USD

US7475251036

Purchase

4

151.0500 USD

US7475251036

Purchase

4

151.5000 USD

US7475251036

Purchase

5

151.4400 USD

US7475251036

Purchase

5

151.4900 USD

US7475251036

Purchase

5

151.5100 USD

US7475251036

Purchase

5

151.5200 USD

US7475251036

Purchase

5

151.6000 USD

US7475251036

Purchase

5

151.6000 USD

US7475251036

Purchase

6

136.2000 EUR

US7475251036

Purchase

8

151.4200 USD

US7475251036

Purchase

9

151.5600 USD

US7475251036

Purchase

9

151.6000 USD

US7475251036

Purchase

10

151.5900 USD

US7475251036

Purchase

10

153.8000 USD

US7475251036

Purchase

10

153.8600 USD

US7475251036

Purchase

10

154.0800 USD

US7475251036

Purchase

14

151.1000 USD

US7475251036

Purchase

15

151.1000 USD

US7475251036

Purchase

16

151.4900 USD

US7475251036

Purchase

18

151.3900 USD

US7475251036

Purchase

20

151.0600 USD

US7475251036

Purchase

20

151.1400 USD

US7475251036

Purchase

20

151.3550 USD

US7475251036

Purchase

25

151.3600 USD

US7475251036

Purchase

25

151.4200 USD

US7475251036

Purchase

25

151.4350 USD

US7475251036

Purchase

38

151.4400 USD

US7475251036

Purchase

40

151.4450 USD

US7475251036

Purchase

40

151.4600 USD

US7475251036

Purchase

41

151.3550 USD

US7475251036

Purchase

51

151.4250 USD

US7475251036

Purchase

51

151.4350 USD

US7475251036

Purchase

52

151.2400 USD

US7475251036

Purchase

59

151.4450 USD

US7475251036

Purchase

60

151.1700 USD

US7475251036

Purchase

60

151.3500 USD

US7475251036

Purchase

61

151.9850 USD

US7475251036

Purchase

63

151.4050 USD

US7475251036

Purchase

66

151.9700 USD

US7475251036

Purchase

67

151.5450 USD

US7475251036

Purchase

71

151.1000 USD

US7475251036

Purchase

84

151.4600 USD

US7475251036

Purchase

88

140.5400 EUR

US7475251036

Purchase

88

151.4100 USD

US7475251036

Purchase

96

152.1200 USD

US7475251036

Purchase

98

151.4300 USD

US7475251036

Purchase

100

151.1450 USD

US7475251036

Purchase

100

151.1900 USD

US7475251036

Purchase

100

151.2100 USD

US7475251036

Purchase

100

151.3300 USD

US7475251036

Purchase

100

151.4100 USD

US7475251036

Purchase

100

151.4100 USD

US7475251036

Purchase

100

151.4100 USD

US7475251036

Purchase

100

151.4225 USD

US7475251036

Purchase

100

151.4250 USD

US7475251036

Purchase

100

151.4300 USD

US7475251036

Purchase

100

151.4400 USD

US7475251036

Purchase

100

151.5090 USD

US7475251036

Purchase

100

151.5100 USD

US7475251036

Purchase

112

140.4699 EUR

US7475251036

Purchase

120

153.9500 USD

US7475251036

Purchase

122

151.8750 USD

US7475251036

Purchase

122

153.8850 USD

US7475251036

Purchase

126

153.8850 USD

US7475251036

Purchase

162

151.3800 USD

US7475251036

Purchase

195

151.9000 USD

US7475251036

Purchase

200

151.1000 USD

US7475251036

Purchase

200

151.3800 USD

US7475251036

Purchase

200

151.4100 USD

US7475251036

Purchase

200

151.4200 USD

US7475251036

Purchase

200

151.9150 USD

US7475251036

Purchase

204

151.3200 USD

US7475251036

Purchase

207

154.0800 USD

US7475251036

Purchase

237

151.3700 USD

US7475251036

Purchase

293

151.0500 USD

US7475251036

Purchase

300

151.0400 USD

US7475251036

Purchase

300

151.3800 USD

US7475251036

Purchase

300

151.4225 USD

US7475251036

Purchase

300

151.9750 USD

US7475251036

Purchase

313

151.8800 USD

US7475251036

Purchase

337

151.4200 USD

US7475251036

Purchase

337

151.4500 USD

US7475251036

Purchase

342

151.9700 USD

US7475251036

Purchase

396

151.3300 USD

US7475251036

Purchase

400

151.1000 USD

US7475251036

Purchase

400

151.1500 USD

US7475251036

Purchase

400

151.3800 USD

US7475251036

Purchase

400

151.4400 USD

US7475251036

Purchase

400

151.5200 USD

US7475251036

Purchase

413

151.3600 USD

US7475251036

Purchase

436

151.1000 USD

US7475251036

Purchase

463

152.0446 USD

US7475251036

Purchase

467

151.4200 USD

US7475251036

Purchase

480

151.0700 USD

US7475251036

Purchase

480

151.1400 USD

US7475251036

Purchase

480

153.9500 USD

US7475251036

Purchase

482

151.8900 USD

US7475251036

Purchase

500

150.9100 USD

US7475251036

Purchase

500

151.0700 USD

US7475251036

Purchase

500

151.0700 USD

US7475251036

Purchase

500

151.6500 USD

US7475251036

Purchase

500

151.9600 USD

US7475251036

Purchase

512

151.4000 USD

US7475251036

Purchase

550

151.9900 USD

US7475251036

Purchase

588

151.3700 USD

US7475251036

Purchase

593

151.3800 USD

US7475251036

Purchase

600

151.0300 USD

US7475251036

Purchase

900

151.4200 USD

US7475251036

Purchase

941

152.0000 USD

US7475251036

Purchase

1,118

151.2500 USD

US7475251036

Purchase

1,183

151.3800 USD

US7475251036

Purchase

1,200

151.8870 USD

US7475251036

Purchase

1,368

151.3900 USD

US7475251036

Purchase

1,837

152.1219 USD

US7475251036

Purchase

2,592

152.1200 USD

US7475251036

Purchase

3,615

151.9200 USD

US7475251036

Purchase

4,035

154.0800 USD

US7475251036

Purchase

4,450

151.9100 USD

US7475251036

Purchase

6,384

152.1200 USD

US7475251036

Purchase

7,808

152.1200 USD

US7475251036

Purchase

12,455

145.1800 USD

US7475251036

Purchase

17,029

152.1200 USD

US7475251036

Sale

-14,444

152.1200 USD

US7475251036

Sale

-8,460

152.1200 USD

US7475251036

Sale

-7,531

152.1200 USD

US7475251036

Sale

-7,208

152.1200 USD

US7475251036

Sale

-4,427

151.9370 USD

US7475251036

Sale

-3,865

151.6797 USD

US7475251036

Sale

-3,260

152.1200 USD

US7475251036

Sale

-2,520

152.1200 USD

US7475251036

Sale

-1,685

152.1200 USD

US7475251036

Sale

-1,310

152.1200 USD

US7475251036

Sale

-541

152.1200 USD

US7475251036

Sale

-295

152.1200 USD

US7475251036

Sale

-200

140.5008 EUR

US7475251036

Sale

-112

152.1200 USD

US7475251036

Sale

-100

149.9700 USD

US7475251036

Sale

-70

150.9300 USD

US7475251036

Sale

-67

151.5450 USD

US7475251036

Sale

-60

151.5200 USD

US7475251036

Sale

-60

151.8200 USD

US7475251036

Sale

-50

150.7600 USD

US7475251036

Sale

-50

151.1500 USD

US7475251036

Sale

-50

151.3100 USD

US7475251036

Sale

-50

151.4800 USD

US7475251036

Sale

-50

152.0800 USD

US7475251036

Sale

-50

152.2400 USD

US7475251036

Sale

-45

152.1400 USD

US7475251036

Sale

-40

150.3700 USD

US7475251036

Sale

-40

150.7400 USD

US7475251036

Sale

-40

150.7800 USD

US7475251036

Sale

-40

151.7700 USD

US7475251036

Sale

-39

154.0800 USD

US7475251036

Sale

-35

152.0400 USD

US7475251036

Sale

-35

152.2400 USD

US7475251036

Sale

-30

151.0100 USD

US7475251036

Sale

-20

150.3600 USD

US7475251036

Sale

-15

150.2100 USD

US7475251036

Sale

-10

151.5900 USD

US7475251036

Sale

-9

151.5600 USD

US7475251036

Sale

-9

151.6000 USD

US7475251036

Sale

-8

152.0100 USD

US7475251036

Sale

-7

136.2486 EUR

US7475251036

Sale

-7

152.0200 USD

US7475251036

Sale

-5

151.4400 USD

US7475251036

Sale

-5

151.4900 USD

US7475251036

Sale

-5

151.5100 USD

US7475251036

Sale

-5

151.5200 USD

US7475251036

Sale

-5

151.6000 USD

US7475251036

Sale

-5

151.6000 USD

US7475251036

Sale

-4

151.5000 USD

US7475251036

Sale

-3

150.3550 USD

US7475251036

Sale

-1

150.4476 USD

US7475251036

Sale

-1

151.5100 USD

US7475251036

Sale

-1

151.5427 USD

US7475251036

Sale

-1

151.5600 USD

US7475251036

Sale

-1

151.5900 USD

 

(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

US7475251036

Contract for Difference

Opening Long Position

240

152.1200 USD

US7475251036

Contract for Difference

Opening Long Position

419

152.1300 USD

US7475251036

Contract for Difference

Closing Short Position

102

152.1200

US7475251036

Contract for Difference

Increasing Long Position

4,025

152.1200

US7475251036

Contract for Difference

Reducing Short Position

3,462

152.1200

US7475251036

Equity Linked Note

Reducing Long Position

-319

3.2000 USD

US7475251036

Equity Linked Note

Reducing Long Position

-100

111.2100 USD

 

(c)        Stock-settled derivative transactions (including options)

 

(i)         Writing, selling, purchasing or varying

 

Class of relevant security

Product description e.g. call option

Writing, purchasing, selling, varying etc.

Number of securities to which option relates

Exercise price per unit

Type

e.g. American, European etc.

Expiry date

Option money paid/ received per unit

US7475251036

Long Put Option

Increasing Long Position

16

21.1000 USD

american

15/01/2027


US7475251036

Long Put Option

Increasing Long Position

62

21.1000 USD

american

15/01/2027


US7475251036

Long Put Option

Increasing Long Position

180

7.6000 USD

american

20/06/2025


US7475251036

Short Put Option

Increasing Long Position

-26,058

7.6000 USD

american

20/06/2025


 

(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:

13/05/2025

Contact name:

Compliance Control Room

Telephone number*:

0207 595 9695

 

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.

 

*If the discloser is a natural person, a telephone number does not need to be included, provided contact information has been provided to the Panel's Market Surveillance Unit.

 

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.

 

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:

 

BNP Paribas SA

 Name of offeror/offeree in relation to whose

 relevant securities the disclosure relates:

Qualcomm Incorporated

 

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

USD 0.0001 common (US7475251036)

Call Option

P

100

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

100

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

100

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

200

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

200

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

300

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

300

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

400

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

500

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

600

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

700

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

900

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

2000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

3100

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

5000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

6500

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

6700

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Call Option

P

6900

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

7500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

8000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

9000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

10000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

10000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

12100

152.12

american

16/05/2025

USD 0.0001 common (US7475251036)

Call Option

P

14400

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

14500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

15000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

P

15000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

16000

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

17200

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Call Option

P

17300

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

P

19100

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

19500

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

P

20800

152.12

american

02/08/2024

USD 0.0001 common (US7475251036)

Call Option

W

-20800

152.12

american

02/08/2024

USD 0.0001 common (US7475251036)

Call Option

W

-13200

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Call Option

W

-10000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

W

-9600

180

american

16/01/2026

USD 0.0001 common (US7475251036)

Call Option

W

-8500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Call Option

W

-100

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Equity Linked Note


-2756000

151.45

european

25/09/2026

USD 0.0001 common (US7475251036)

Equity Linked Note


-500000

151.45

european

12/05/2027

USD 0.0001 common (US7475251036)

Equity Linked Note


-1065

152.12

european

15/07/2025

USD 0.0001 common (US7475251036)

Equity Linked Note


-500

152.12


11/09/2026

USD 0.0001 common (US7475251036)

Equity Linked Note


-300

152.12

european

09/09/2026

USD 0.0001 common (US7475251036)

Equity Linked Note


105000

152.12

european

25/09/2026

USD 0.0001 common (US7475251036)

Put Option

P

-95300

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-73900

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-50000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

P

-48700

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-34400

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-30000

151.45

american

16/05/2025

USD 0.0001 common (US7475251036)

Put Option

P

-27500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-24300

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

P

-22500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-22400

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-22300

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-22300

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

P

-22000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-19600

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-18000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-18000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

P

-17500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-17500

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-17500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-16300

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-15000

152.12

american

17/10/2025

USD 0.0001 common (US7475251036)

Put Option

P

-15000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-15000

152.12

american

18/06/2026

USD 0.0001 common (US7475251036)

Put Option

P

-13200

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-12900

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

P

-12500

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-12000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-10900

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-10000

152.12

american

16/05/2025

USD 0.0001 common (US7475251036)

Put Option

P

-10000

152.12

american

15/08/2025

USD 0.0001 common (US7475251036)

Put Option

P

-8300

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-8200

152.12

american

18/12/2026

USD 0.0001 common (US7475251036)

Put Option

P

-8000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-7800

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

P

-7500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-6800

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-6800

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

P

-5000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-5000

152.12

american

15/08/2025

USD 0.0001 common (US7475251036)

Put Option

P

-3900

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-3500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-3000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-2900

151.3896

european

27/05/2025

USD 0.0001 common (US7475251036)

Put Option

P

-2700

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-2500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-2300

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-1400

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-1000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-700

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-700

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-600

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-600

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-400

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-200

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-200

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-100

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

P

-100

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

P

-100

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

P

-100

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

W

1000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

1400

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

1900

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

2000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

2500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

3000

152.12

american

16/05/2025

USD 0.0001 common (US7475251036)

Put Option

W

3000

152.12

american

17/10/2025

USD 0.0001 common (US7475251036)

Put Option

W

3400

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

3500

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

W

4000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

5000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

5000

152.12

american

19/12/2025

USD 0.0001 common (US7475251036)

Put Option

W

5000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

5500

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

7000

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

7000

152.12

american

18/06/2026

USD 0.0001 common (US7475251036)

Put Option

W

7100

152.12

american

18/12/2026

USD 0.0001 common (US7475251036)

Put Option

W

8000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

8000

152.12

american

15/08/2025

USD 0.0001 common (US7475251036)

Put Option

W

8000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

9900

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

10000

152.12

american

15/08/2025

USD 0.0001 common (US7475251036)

Put Option

W

10000

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

10000

152.12

american

18/12/2026

USD 0.0001 common (US7475251036)

Put Option

W

12000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

12100

152.12

american

16/05/2025

USD 0.0001 common (US7475251036)

Put Option

W

12100

152.12

american

18/07/2025

USD 0.0001 common (US7475251036)

Put Option

W

12500

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

13000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

13000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

13300

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

14000

152.12

american

18/06/2026

USD 0.0001 common (US7475251036)

Put Option

W

14500

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

15000

152.12

american

18/07/2025

USD 0.0001 common (US7475251036)

Put Option

W

15000

152.12

american

15/08/2025

USD 0.0001 common (US7475251036)

Put Option

W

15000

152.12

american

18/06/2026

USD 0.0001 common (US7475251036)

Put Option

W

17700

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

18000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

18000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

18500

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

19700

151.45

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

W

20000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

20000

152.12

american

16/01/2026

USD 0.0001 common (US7475251036)

Put Option

W

20200

152.12

american

17/10/2025

USD 0.0001 common (US7475251036)

Put Option

W

21800

152.12

american

18/12/2026

USD 0.0001 common (US7475251036)

Put Option

W

22000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

23000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

25000

152.12

american

20/03/2026

USD 0.0001 common (US7475251036)

Put Option

W

27200

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

27400

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

35000

152.12

american

15/01/2027

USD 0.0001 common (US7475251036)

Put Option

W

40000

151.45

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

48700

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

50000

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

50000

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

60800

152.12

american

19/09/2025

USD 0.0001 common (US7475251036)

Put Option

W

62600

152.12

american

20/06/2025

USD 0.0001 common (US7475251036)

Put Option

W

100000

152.12

american

16/01/2026

 

3.

AGREEMENTS TO PURCHASE OR SELL ETC.


 

Full details should be given so that the nature of the interest or position can be fully understood:

 

 

 

 

It is not necessary to provide details on a Supplemental Form (Open Positions) with regard to cash-settled derivatives.


 

The currency of all prices and other monetary amounts should be stated.


 

The Panel's Market Surveillance Unit is available for consultation in relation to the Code's disclosure requirements on +44 (0)20 7638 0129.


 

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk


 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
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