FORM 8.3
|
PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE
BY
|
A
PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1%
OR
|
MORE
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Rule 8.3 of the Takeover Code
(the "Code")
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1.
|
KEY
INFORMATION
|
(a)
|
Full name of discloser:
|
Barclays PLC.
|
(b)
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Owner or controller of interest and short
positions disclosed, if different from
1(a):
|
|
(c)
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Name of offeror/offeree in relation to whose
relevant securities this form relates:
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DIRECT LINE INSURANCE GROUP PLC
|
(d)
|
If
an exempt fund manager connected with an
offeror/offeree, state this and specify identity of
offeror/offeree:
|
|
(e)
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Date position held/dealing undertaken:
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23
Jan 2025
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(f)
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In
addition to the company in 1(c) above, is the discloser making
disclosures in respect of any other party to the
offer?
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YES:
AVIVA PLC
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2.
|
POSITIONS OF THE PERSON MAKING THE
DISCLOSURE
|
(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:
|
10
10/11p ordinary
|
|
Interests
|
Short
Positions
|
Number
|
(%)
|
Number
|
(%)
|
(1)
Relevant securities owned and/or controlled:
|
13,403,155
|
1.02%
|
11,833,823
|
0.90%
|
(2)
Cash-settled derivatives:
|
12,515,168
|
0.95%
|
13,275,358
|
1.01%
|
(3)
Stock-settled derivatives (including options) and agreements to
purchase/sell:
|
0
|
0.00%
|
0
|
0.00%
|
TOTAL:
|
25,918,323
|
1.98%
|
25,109,181
|
1.91%
|
Class of relevant security:
|
Restricted Tier 1 Note XS1728036366
|
|
Interests
|
Short
Positions
|
Number
|
(%)
|
Number
|
(%)
|
(1)
Relevant securities owned and/or controlled:
|
200,000
|
0.06%
|
0
|
0.00%
|
(2)
Cash-settled derivatives:
|
0
|
0.00%
|
0
|
0.00%
|
(3)
Stock-settled derivatives (including options) and agreements to
purchase/sell:
|
0
|
0.00%
|
0
|
0.00%
|
TOTAL:
|
200,000
|
0.06%
|
0
|
0.00%
|
(b)
|
Rights to subscribe for new securities (including directors
and
other executive options)
|
Class of relevant security in relation to
which subscription right exists
|
|
Details, including nature of the rights
concerned and relevant percentages:
|
|
3.
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DEALINGS (IF ANY) BY THE PERSON MAKING THE
DISCLOSURE
|
(a)
|
Purchase and sales
|
Class of relevant
security
|
Purchase/sale
|
Number of
securities
|
Price per
unit
|
10 10/11p
ordinary
|
Purchase
|
240,773
|
2.6696 GBP
|
10 10/11p
ordinary
|
Purchase
|
210,584
|
2.6700 GBP
|
10 10/11p
ordinary
|
Purchase
|
110,226
|
2.6755 GBP
|
10 10/11p
ordinary
|
Purchase
|
48,125
|
2.6753 GBP
|
10 10/11p
ordinary
|
Purchase
|
47,800
|
2.6782 GBP
|
10 10/11p
ordinary
|
Purchase
|
20,433
|
2.6748 GBP
|
10 10/11p
ordinary
|
Purchase
|
14,800
|
2.6737 GBP
|
10 10/11p
ordinary
|
Purchase
|
12,583
|
2.6720 GBP
|
10 10/11p
ordinary
|
Purchase
|
10,954
|
2.6712 GBP
|
10 10/11p
ordinary
|
Purchase
|
10,096
|
2.6728 GBP
|
10 10/11p
ordinary
|
Purchase
|
10,009
|
2.6739 GBP
|
10 10/11p
ordinary
|
Purchase
|
8,553
|
2.6758 GBP
|
10 10/11p
ordinary
|
Purchase
|
4,307
|
2.6735 GBP
|
10 10/11p
ordinary
|
Purchase
|
2,690
|
2.6740 GBP
|
10 10/11p
ordinary
|
Purchase
|
2,480
|
2.6747 GBP
|
10 10/11p
ordinary
|
Purchase
|
1,725
|
2.6733 GBP
|
ADR
|
Purchase
|
400
|
13.1500 USD
|
10 10/11p
ordinary
|
Purchase
|
7
|
2.6760 GBP
|
10 10/11p
ordinary
|
Sale
|
343,199
|
2.6738 GBP
|
10 10/11p
ordinary
|
Sale
|
182,622
|
2.6736 GBP
|
10 10/11p
ordinary
|
Sale
|
146,079
|
2.6728 GBP
|
10 10/11p
ordinary
|
Sale
|
134,266
|
2.6700 GBP
|
10 10/11p
ordinary
|
Sale
|
68,363
|
2.6731 GBP
|
10 10/11p
ordinary
|
Sale
|
64,424
|
2.6715 GBP
|
10 10/11p
ordinary
|
Sale
|
11,578
|
2.6729 GBP
|
10 10/11p
ordinary
|
Sale
|
11,512
|
2.6702 GBP
|
10 10/11p
ordinary
|
Sale
|
8,447
|
2.6743 GBP
|
10 10/11p
ordinary
|
Sale
|
8,323
|
2.6741 GBP
|
10 10/11p
ordinary
|
Sale
|
6,974
|
2.6750 GBP
|
10 10/11p
ordinary
|
Sale
|
6,472
|
2.6722 GBP
|
10 10/11p
ordinary
|
Sale
|
6,326
|
2.6690 GBP
|
10 10/11p
ordinary
|
Sale
|
5,857
|
2.6732 GBP
|
10 10/11p
ordinary
|
Sale
|
2,789
|
2.6707 GBP
|
10 10/11p
ordinary
|
Sale
|
2,448
|
2.6719 GBP
|
10 10/11p
ordinary
|
Sale
|
900
|
2.6720 GBP
|
10 10/11p
ordinary
|
Sale
|
546
|
2.6740 GBP
|
10 10/11p
ordinary
|
Sale
|
435
|
2.6760 GBP
|
ADR
|
Sale
|
400
|
13.1500 USD
|
10 10/11p
ordinary
|
Sale
|
329
|
2.6730 GBP
|
(b)
|
Cash-settled derivative transactions
|
Class of
relevant
security
|
Product
description
|
Nature of
dealing
|
Number of
reference
securities
|
Price per
unit
|
10 10/11p
ordinary
|
SWAP
|
Increasing Short
|
33,489
|
2.6726 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
6,116
|
2.6580 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
41,900
|
2.6705 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
95,173
|
2.6724 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
77,507
|
2.6725 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
26,500
|
2.6729 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
35,488
|
2.6734 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
79,653
|
2.6736 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
338,782
|
2.6738 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
8,323
|
2.6741 GBP
|
10 10/11p
ordinary
|
SWAP
|
Increasing Long
|
73,103
|
2.6743 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
227,976
|
2.6700 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
10,096
|
2.6728 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
1,725
|
2.6733 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
35,154
|
2.6747 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
16,437
|
2.6748 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
83,625
|
2.6758 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
95,925
|
2.6768 GBP
|
10 10/11p
ordinary
|
SWAP
|
Decreasing Long
|
337
|
2.6780 GBP
|
10 10/11p
ordinary
|
CFD
|
Increasing Short
|
400
|
2.6701 GBP
|
10 10/11p
ordinary
|
CFD
|
Increasing Short
|
33,687
|
2.6738 GBP
|
|
|
|
|
|
|
|
|
(c)
|
Stock-settled derivative transactions
(including options)
|
(i)
|
Writing, selling, purchasing or varying
|
Class
of
relevant
security
|
Product
description
|
Writing,
purchasing,
selling,
varying etc
|
Number
of
securities
to which
option
relates
|
Exercise
price
per unit
|
Type
|
Expiry
date
|
Option
money
paid/
received
per unit
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(ii)
|
Exercising
|
|
|
|
|
|
|
Class of relevant
security
|
Product
description
|
Exercising/ exercised
against
|
Number of
securities
|
Exercise price per
unit
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(d)
|
Other dealings (including subscribing for
new securities)
|
Class of relevant
security
|
Nature of
Dealings
|
Details
|
Price per unit (if
applicable)
|
|
|
|
|
4.
|
OTHER INFORMATION
|
(a)
|
Indemnity and other dealings 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:
|
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 of future acquisition or disposal of
any relevant securities to which
any derivative is referenced:
|
NONE
|
(c)
|
Attachments
|
|
|
|
|
|
|
Is
a Supplemental Form 8 (Open Positions) attached?
|
NO
|
Date of disclosure:
|
27 Jan 2025
|
Contact name:
|
Large Holdings Regulatory
Operations
|
Telephone number:
|
020 3134
7213
|