BNP Paribas London Form 8.3 - DraftKings Inc (3269Q)
26 Ottobre 2021 - 4:17PM
UK Regulatory
TIDM0A40
RNS Number : 3269Q
BNP Paribas London
26 October 2021
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 DraftKings Inc
to whose relevant securities this
form relates:
Use a separate form for each offeror/offeree
-----------------
(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: 25/10/2021
For an opening position disclosure,
state the latest practicable date
prior to the disclosure
-----------------
(f) In addition to the company in Yes: Entain plc
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"
-----------------
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: USD 0.0001 class A common (US26142R1041)
Interests Short Positions
Number % Number %
(1) Relevant securities
owned and/or controlled: 1,968,518 .48 -2,868,112 -.71
--------------------- -------- --------------------- --------
(2) Cash-settled derivatives: 999,932 .25 -505,000 -.12
--------------------- -------- --------------------- --------
(3) Stock-settled derivatives
(including options) and
agreements to purchase/sell: 10,167,400 2.50 -9,562,971 -2.35
--------------------- -------- --------------------- --------
TOTAL: 13,135,850 3.23 -12,936,083 -3.19
--------------------- -------- --------------------- --------
Class of relevant security: Convertible Senior Notes 2028 (US26142RAA23)
Interests Short Positions
Number % Number %
(1) Relevant securities
owned and/or controlled:
---------------------- --------- -------------------------- ----------
(2) Cash-settled derivatives: 20,458,000 1.68 - 20,458,000 -1.68
---------------------- --------- -------------------------- ----------
(3) Stock-settled derivatives
(including options) and
agreements to purchase/sell:
---------------------- --------- -------------------------- ----------
TOTAL: 20,458,000 1.68 - 20,458,000 -1.68
---------------------- --------- -------------------------- ----------
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
US26142R1041 Purchase 857 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 5,637 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 7 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Sale -4,949 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 5 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 609 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 93 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 22 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 12,324 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 100 47.0600 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 141 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Sale -2,200 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 930 46.8200 USD
--------------- --------------------- --------------------------
US26142R1041 Purchase 23,127 46.8200 USD
--------------- --------------------- --------------------------
(b) Cash-settled derivative transactions
Class of Product Nature of dealing Number of Price per
relevant description e.g. opening/closing references unit
security e.g. CFD a securities
long/short position
increasing/reducing
a
long/short position
US26142R1041 Contract for Reducing a long -656 50.9860 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -515 55.3400 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -654 51.0635 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -674 47.6760 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -393 44.0960 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -683 45.7487 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -637 52.9283 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -665 49.2460 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -663 49.2748 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -31 49.7251 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
US26142R1041 Contract for Reducing a long -66 52.1624 USD
Difference position
-------------- ----------------------- --------------------- --------------------------
(c) Stock-settled derivative transactions (including options)
(i) Writing, selling, purchasing or varying
Class Product Writing, Number Exercise Type Expiry Option
of description purchasing, of price e.g. date money
relevant e.g. call selling, securities per unit American paid/
security option varying to which European received
etc. option etc. per unit
relates
(ii) Exercise
Class of Product Exercising/ Number of Exercise price
relevant description exercised securities per unit
security e.g. call option against
(d) Other dealings (including subscribing for new securities)
Class of relevant Nature of dealing Details Price per unit
security e.g. subscription, conversion (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"
(b) Indemnity and other dealing arrangements
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"
(c) Attachments
Is a supplemental Form 8 (Open Positions) attached? Yes
Date of Disclosure: 26/10/2021
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 DraftKings Inc
to whose
relevant securities the disclosure
relates:
----------------
2. STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)
Class of Product Written Number of Exercise Type Expiry
relevant description or securities price e.g. date
security e.g. call purchased to which per unit American,
option option or European
derivative etc.
relates
USD 0.0001 class A
common (US26142R1041) Forward W 1700000 45.52838 european 22/11/2021
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward W -88800 american 21/01/2022
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward P -600000 american 20/01/2023
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward P -200000 american 20/01/2023
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward P 0 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward P 0 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward P -360000 american 15/07/2022
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward P 0 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward P -1700000 45.52838 european 22/11/2021
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward W 360000 american 15/07/2022
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward P 88800 american 21/01/2022
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward W 0 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward W 600000 american 20/01/2023
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Forward W 200000 american 20/01/2023
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward W 0 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Forward W 0 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Equity Linked Note -1271 48.92 european 28/04/2022
------------------------------------ ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Call Option W -88800 85 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A Call Option P 2000 70.466 european 10/12/2021
common (US26142R1041)
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Call Option P 88800 85 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 29000 55 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 126000 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -71700 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 112000 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -106500 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -35900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 57700 45 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 52400 50 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 62300 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 26300 50 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 101400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 50000 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -126000 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 145400 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -163300 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -64000 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -113300 45 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -112000 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 257900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -111300 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -69400 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -62300 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 34200 40 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -121500 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 80100 35 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -57700 45 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 37900 40 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -146000 30 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 102400 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -327500 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 71700 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -69000 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -94200 50 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -45500 60 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -101400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -32000 55 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -80100 35 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -27400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -52400 50 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -27700 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -55300 35 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -225000 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -26300 50 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -23900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -33400 55 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -29000 55 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 225000 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 106500 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -40000 25 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -7300 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 72600 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -117100 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -55000 40 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -89300 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -34200 40 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 35900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -1700000 48.92 european 22/11/2021
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -101400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -50000 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -72600 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 80100 35 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 89300 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 111300 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 7300 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 146000 30 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 69400 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 327500 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 40000 25 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 32000 55 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 121500 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 117100 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -102400 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 27700 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -80100 35 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -257900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -34200 40 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -225000 30 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 94200 50 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 34200 40 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 23900 35 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 69000 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -145400 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 33400 55 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -37900 40 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 27400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 55300 35 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 45500 60 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 64000 30 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 55000 40 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 225000 30 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 113300 45 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 101400 40 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 163300 35 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 133400 48.92 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 113300 48.92 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 129200 48.92 american 14/04/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -88800 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 163900 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 57700 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 25600 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 126000 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -80100 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -34200 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 130000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -40000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 30000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 140000 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 80000 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 360000 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -400000 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 26000 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 34200 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 55000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 94200 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -120000 48.92 american 15/07/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 32000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 45000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option P -200 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 40000 48.92 american 21/01/2022
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 69000 48.92 american 19/01/2024
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 52400 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 63000 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 497400 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 542300 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
USD 0.0001 class A
common (US26142R1041) Put Option W 27400 48.92 american 20/01/2023
--------------------- ------------- ------------- ----------- ------------ ------------
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
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END
RETFEIFLMEFSEFS
(END) Dow Jones Newswires
October 26, 2021 10:17 ET (14:17 GMT)
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