FORM 8.3 - SHIRE PLC - AMENDMENT

LONDON--()--

FORM 8.3

AMENDMENT TO SALES AND PURCHASES

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:   Barclays PLC.
     
(b) Owner or controller of interest and short
  positions disclosed, if different from 1(a):  
(c) Name of offeror/offeree in relation to whose SHIRE PLC
  relevant securities this form relates:  
(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: 12 July 2018
(f) In addition to the company in 1(c) above, is the discloser making YES:
  disclosures in respect of any other party to the offer? TAKEDA PHARMACEUTICAL CO LTD

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:       5p ordinary            
Interests Short Positions
    Number (%) Number (%)
(1) Relevant securities owned
and/or controlled: 5,605,659 0.61% 3,608,723 0.39%
           
(2) Cash-settled derivatives:
1,692,288 0.19% 4,304,389 0.47%
           
(3) Stock-settled derivatives (including options)
and agreements to purchase/sell: 249,800 0.03% 277,400 0.03%
           
(4)
TOTAL: 7,547,747 0.82% 8,190,512 0.90%

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   Purchase/sale   Number of   Price per unit
security   securities  
ADR Purchase 2 172.3299 USD
ADR Purchase 52 171.8000 USD
ADR Purchase 67 171.7500 USD
ADR Purchase 73 171.9700 USD
ADR Purchase 100 171.9100 USD
ADR Purchase 107 172.0654 USD
5p ordinary Purchase 134 43.0600 GBP
5p ordinary Purchase 146 43.2400 GBP
ADR Purchase 148 172.2400 USD
5p ordinary Purchase 154 43.3500 GBP
ADR Purchase 200 171.9300 USD
ADR Purchase 300 171.8950 USD
5p ordinary Purchase 350 43.2744 GBP
5p ordinary Purchase 352 43.2644 GBP
ADR Purchase 448 172.0345 USD
ADR Purchase 448 171.8665 USD
ADR Purchase 453 172.2900 USD
5p ordinary Purchase 474 43.1250 GBP
ADR Purchase 500 171.9820 USD
5p ordinary Purchase 550 43.2756 GBP
ADR Purchase 1,000 172.0445 USD
5p ordinary Purchase 1,114 42.9700 GBP
ADR Purchase 1,200 172.0304 USD
ADR Purchase 1,306 171.9746 USD
5p ordinary Purchase 1,714 43.2053 GBP
5p ordinary Purchase 2,000 43.0566 GBP
5p ordinary Purchase 2,352 43.3025 GBP
5p ordinary Purchase 5,300 43.2203 GBP
5p ordinary Purchase 7,500 43.3262 GBP
5p ordinary Purchase 9,106 43.2500 GBP
5p ordinary Purchase 11,594 43.1948 GBP
5p ordinary Purchase 12,538 43.0208 GBP
ADR Purchase 12,933 171.9586 USD
5p ordinary Purchase 13,704 43.3580 GBP
5p ordinary Purchase 15,788 43.2336 GBP
5p ordinary Purchase 21,778 43.1860 GBP
5p ordinary Purchase 42,864 43.0301 GBP
5p ordinary Purchase 109,392 43.0553 GBP
5p ordinary Purchase 297,486 43.1313 GBP
ADR Sale 2 172.3299 USD
5p ordinary Sale 14 43.3100 GBP
ADR Sale 15 171.8500 USD
ADR Sale 19 172.3200 USD
ADR Sale 52 171.8000 USD
ADR Sale 67 171.7500 USD
ADR Sale 73 171.9700 USD
ADR Sale 100 171.9400 USD
ADR Sale 100 172.2725 USD
ADR Sale 100 172.0000 USD
ADR Sale 102 172.2100 USD
5p ordinary Sale 132 43.2500 GBP
5p ordinary Sale 134 43.0600 GBP
5p ordinary Sale 146 43.2400 GBP
5p ordinary Sale 154 43.3500 GBP
ADR Sale 200 171.9600 USD
ADR Sale 300 172.0775 USD
ADR Sale 332 172.2900 USD
ADR Sale 350 171.9800 USD
5p ordinary Sale 400 43.2822 GBP
5p ordinary Sale 426 43.1865 GBP
5p ordinary Sale 500 42.9950 GBP
ADR Sale 500 172.0380 USD
ADR Sale 689 172.0371 USD
ADR Sale 700 172.0303 USD
ADR Sale 848 171.8817 USD
ADR Sale 1,100 172.0084 USD
5p ordinary Sale 1,274 43.3619 GBP
5p ordinary Sale 1,434 43.3220 GBP
5p ordinary Sale 1,670 43.2840 GBP
5p ordinary Sale 1,868 43.3244 GBP
5p ordinary Sale 2,920 43.2839 GBP
5p ordinary Sale 3,196 43.2688 GBP
5p ordinary Sale 3,868 43.2184 GBP
5p ordinary Sale 6,546 43.3600 GBP
5p ordinary Sale 9,212 42.9909 GBP
ADR Sale 13,688 171.9595 USD
5p ordinary Sale 17,398 43.1951 GBP
5p ordinary Sale 24,128 43.3205 GBP
ADR Sale 30,000 172.0600 USD
5p ordinary Sale 42,864 43.0301 GBP
5p ordinary Sale 86,940 43.1890 GBP
5p ordinary Sale 87,686 43.2985 GBP
5p ordinary Sale 104,094 43.0470 GBP
5p ordinary Sale 210,254 43.0630 GBP

(b) Cash-settled derivative transactions

Class of   Product   Nature of dealing   Number of   Price per
relevant description reference unit
security     securities  
5p ordinary SWAP Long 100 43.3557 GBP
5p ordinary SWAP Long 160 43.0781 GBP
5p ordinary SWAP Long 200 43.2822 GBP
5p ordinary CFD Long 213 43.1865 GBP
5p ordinary SWAP Long 444 43.3134 GBP
5p ordinary SWAP Long 508 43.1862 GBP
5p ordinary CFD Long 835 43.2840 GBP
5p ordinary SWAP Long 1,232 43.3357 GBP
5p ordinary SWAP Long 6,949 43.3095 GBP
5p ordinary CFD Long 43,843 43.2985 GBP
5p ordinary SWAP Short 72 43.3558 GBP
5p ordinary SWAP Short 133 43.1542 GBP
5p ordinary SWAP Short 226 43.2202 GBP
5p ordinary CFD Short 444 43.3638 GBP
5p ordinary SWAP Short 445 43.0211 GBP
5p ordinary SWAP Short 504 43.2177 GBP
5p ordinary SWAP Short 791 43.3423 GBP
5p ordinary SWAP Short 1,412 43.2494 GBP
5p ordinary SWAP Short 2,844 43.1555 GBP
5p ordinary SWAP Short 4,487 43.2500 GBP
5p ordinary SWAP Short 4,858 43.2196 GBP
5p ordinary SWAP Short 6,310 43.3614 GBP
5p ordinary CFD Short 10,889 43.1860 GBP
5p ordinary SWAP Short 17,305 43.3600 GBP
5p ordinary SWAP Short 19,789 43.2155 GBP
ADR CFD Long 15,000 172.0600 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

(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: 17 Jul 2018
Contact name: Large Holdings Regulatory Operations
Telephone number: 020 3134 7213

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”)

1. KEY INFORMATION

Identity of the person whose positions/dealings   Barclays PLC.
are being disclosed:  
Name of offeror/offeree in relation to whose SHIRE PLC
relevant securities this from relates:  

2. STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)

Class   Product   Writing,   Number   Exercise   Type   Expiry
of description purchasing, of price date
relevant selling, securities per unit
security varying etc to which
option
      relates      
5p ordinary Call Options Written -125,000 3600.0000 American 21 Dec 2018
5p ordinary Put Options Written 125,000 3600.0000 American 21 Dec 2018
ADR Call Options Purchased 20,700 175.0000 American 20 Jul 2018
ADR Call Options Purchased 8,200 173.0000 American 20 Jul 2018
ADR Put Options Written 2,100 140.0000 American 20 Jul 2018
ADR Call Options Purchased 1,700 195.0000 American 17 Jan 2020
ADR Call Options Purchased 1,000 180.0000 American 17 Jan 2020
ADR Call Options Purchased 1,000 170.0000 American 17 Jan 2020
ADR Call Options Purchased 200 135.0000 American 17 Jan 2020
ADR Call Options Purchased 100 175.0000 American 18 Jan 2019
ADR Put Options Written 100 110.0000 American 17 Jan 2020
ADR Put Options Purchased -100 163.0000 American 13 Jul 2018
ADR Put Options Purchased -400 165.0000 American 17 Jan 2020
ADR Put Options Purchased -700 160.0000 American 17 Jan 2020
ADR Put Options Purchased -1,000 150.0000 American 18 Jan 2019
ADR Put Options Purchased -1,500 165.0000 American 18 Jan 2019
ADR Put Options Purchased -2,600 160.0000 American 20 Jul 2018
ADR Put Options Purchased -2,700 80.0000 American 18 Jan 2019
ADR Put Options Purchased -2,800 135.0000 American 17 Aug 2018
ADR Put Options Purchased -4,600 165.0000 American 19 Oct 2018
ADR Put Options Purchased -5,800 180.0000 American 18 Jan 2019
ADR Put Options Purchased -7,700 130.0000 American 18 Jan 2019
ADR Put Options Purchased -44,000 145.0000 American 19 Oct 2018
ADR Call Options Purchased 1,600 170.0000 American 19 Oct 2018
ADR Call Options Written -100 125.0000 American 20 Jul 2018
ADR Put Options Written 21,700 155.0000 American 20 Jul 2018
ADR Call Options Purchased 3,600 185.0000 American 19 Oct 2018
ADR Call Options Purchased 3,100 155.0000 American 18 Jan 2019
ADR Put Options Written 2,900 95.0000 American 20 Jul 2018
ADR Call Options Purchased 1,300 165.0000 American 19 Oct 2018
ADR Put Options Written 1,000 90.0000 American 18 Jan 2019
ADR Call Options Purchased 700 150.0000 American 20 Jul 2018
ADR Call Options Purchased 600 125.0000 American 18 Jan 2019
ADR Call Options Purchased 400 230.0000 American 18 Jan 2019
ADR Put Options Written 400 120.0000 American 20 Jul 2018
ADR Call Options Purchased 300 115.0000 American 18 Jan 2019
ADR Put Options Written 200 200.0000 American 17 Jan 2020
ADR Put Options Written 200 125.0000 American 18 Jan 2019
ADR Put Options Written 200 125.0000 American 19 Oct 2018
ADR Put Options Written 200 135.0000 American 20 Jul 2018
ADR Call Options Purchased 100 220.0000 American 18 Jan 2019
ADR Call Options Purchased 100 155.0000 American 20 Jul 2018
ADR Put Options Written 100 95.0000 American 18 Jan 2019
ADR Call Options Written -100 140.0000 American 17 Jan 2020
ADR Call Options Written -1,000 85.0000 American 18 Jan 2019
ADR Call Options Written -1,600 145.0000 American 18 Jan 2019
ADR Call Options Written -1,900 145.0000 American 20 Jul 2018
ADR Put Options Purchased -2,200 110.0000 American 20 Jul 2018
ADR Put Options Purchased -2,500 120.0000 American 17 Jan 2020
ADR Call Options Purchased 6,800 165.0000 American 20 Jul 2018
ADR Call Options Purchased 4,500 200.0000 American 18 Jan 2019
ADR Call Options Purchased 200 155.0000 American 17 Jan 2020
ADR Call Options Purchased 200 130.0000 American 17 Jan 2020
ADR Put Options Purchased -200 170.0000 American 18 Jan 2019
ADR Call Options Written -400 115.0000 American 20 Jul 2018
ADR Put Options Purchased -800 150.0000 American 17 Jan 2020
ADR Call Options Written -900 175.0000 American 19 Oct 2018
ADR Put Options Purchased -5,000 170.0000 American 19 Oct 2018
ADR Call Options Purchased 2,300 185.0000 American 18 Jan 2019
ADR Call Options Purchased 500 195.0000 American 18 Jan 2019
ADR Put Options Written 500 125.0000 American 20 Jul 2018
ADR Call Options Purchased 400 165.0000 American 18 Jan 2019
ADR Call Options Purchased 200 120.0000 American 17 Jan 2020
ADR Call Options Purchased 200 210.0000 American 18 Jan 2019
ADR Put Options Purchased -200 115.0000 American 19 Oct 2018
ADR Put Options Purchased -700 115.0000 American 20 Jul 2018
ADR Put Options Purchased -1,000 105.0000 American 18 Jan 2019
ADR Call Options Written -10,200 180.0000 American 18 Jan 2019
ADR Put Options Written 3,800 150.0000 American 20 Jul 2018
ADR Call Options Purchased 2,000 170.0000 American 17 Aug 2018
ADR Call Options Purchased 1,500 140.0000 American 20 Jul 2018
ADR Call Options Purchased 1,000 170.0000 American 18 Jan 2019
ADR Call Options Purchased 500 130.0000 American 19 Oct 2018
ADR Call Options Purchased 300 170.0000 American 13 Jul 2018
ADR Put Options Written 300 130.0000 American 20 Jul 2018
ADR Call Options Purchased 200 160.0000 American 17 Jan 2020
ADR Call Options Written -100 130.0000 American 18 Jan 2019
ADR Put Options Purchased -500 140.0000 American 17 Jan 2020
ADR Put Options Purchased -1,000 80.0000 American 17 Jan 2020
ADR Put Options Purchased -1,100 150.0000 American 19 Oct 2018
ADR Put Options Purchased -2,300 85.0000 American 18 Jan 2019
ADR Put Options Purchased -6,000 135.0000 American 18 Jan 2019
ADR Put Options Purchased -7,500 155.0000 American 18 Jan 2019
ADR Call Options Written -9,500 170.0000 American 20 Jul 2018
ADR Call Options Purchased 8,600 160.0000 American 20 Jul 2018
ADR Call Options Purchased 4,400 180.0000 American 20 Jul 2018
ADR Put Options Written 2,800 120.0000 American 18 Jan 2019
ADR Call Options Purchased 100 110.0000 American 17 Jan 2020
ADR Call Options Purchased 100 140.0000 American 18 Jan 2019
ADR Put Options Written 100 140.0000 American 19 Oct 2018
ADR Put Options Purchased -1,100 140.0000 American 18 Jan 2019
ADR Put Options Purchased -2,000 175.0000 American 19 Oct 2018
ADR Put Options Purchased -2,100 160.0000 American 18 Jan 2019
ADR Put Options Purchased -3,700 145.0000 American 17 Jan 2020
ADR Put Options Purchased -4,800 165.0000 American 20 Jul 2018
ADR Call Options Purchased 4,100 135.0000 American 20 Jul 2018
ADR Call Options Purchased 2,000 150.0000 American 17 Jan 2020
ADR Call Options Purchased 1,000 135.0000 American 18 Jan 2019
ADR Put Options Written 700 85.0000 American 20 Jul 2018
ADR Call Options Purchased 500 150.0000 American 18 Jan 2019
ADR Call Options Purchased 400 185.0000 American 20 Jul 2018
ADR Put Options Written 400 145.0000 American 20 Jul 2018
ADR Put Options Written 200 70.0000 American 19 Oct 2018
ADR Put Options Written 100 110.0000 American 18 Jan 2019
ADR Put Options Written 100 75.0000 American 19 Oct 2018
ADR Put Options Purchased -500 145.0000 American 18 Jan 2019
ADR Put Options Purchased -1,000 170.0000 American 17 Jan 2020
ADR Call Options Written -1,100 210.0000 American 19 Oct 2018
ADR Put Options Purchased -1,200 135.0000 American 17 Jan 2020
ADR Put Options Purchased -1,800 115.0000 American 18 Jan 2019
ADR Put Options Purchased -2,400 75.0000 American 20 Jul 2018

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.

Short Name: BARCLAYS PLC
Category Code: RET
Sequence Number: 651645
Time of Receipt (offset from UTC): 20180717T121501+0100

Contacts

BARCLAYS PLC

Contacts

BARCLAYS PLC