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:
|
Citadel Group
|
(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.
|
N/A
|
(c)
Name of offeror/offeree in relation to whose relevant securities
this form relates:
Use a separate form for each
offeror/offeree
|
INTERNATIONAL PAPER CO
|
(d)
If an exempt fund manager connected with an offeror/offeree, state
this and specify identity of offeror/offeree:
|
N/A
|
(e)
Date position held/dealing undertaken:
For an opening position disclosure,
state the latest practicable date prior to the
disclosure
|
26 December 2024
|
(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, DS Smith 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:
Common Stock
|
ISIN
US4601461035
|
|
Interests
|
Short
positions
|
|
Number
|
%
|
Number
|
%
|
(1)
Relevant securities owned and/or controlled:
|
992
|
0.00
|
3,026,195
|
0.87
|
(2)
Cash-settled derivatives:
|
0
|
0.00
|
0
|
0.00
|
(3)
Stock-settled derivatives (including options) and agreements to
purchase/sell:
|
1,651,700
|
0.47
|
1,361,800
|
0.39
|
TOTAL:
|
1,652,692
|
0.47
|
4,387,995
|
1.26
|
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:
|
N/A
|
Details, including nature of the rights concerned and relevant
percentages:
|
N/A
|
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
|
Common
|
Buy
Transaction
|
10
|
54.9700
USD
|
Common
|
Buy
Transaction
|
149
|
55.0500
USD
|
Common
|
Buy
Transaction
|
14
|
55.0800
USD
|
Common
|
Buy
Transaction
|
200
|
55.0850
USD
|
Common
|
Buy
Transaction
|
30
|
55.0897
USD
|
Common
|
Buy
Transaction
|
394
|
55.0971
USD
|
Common
|
Buy
Transaction
|
100
|
55.1010
USD
|
Common
|
Buy
Transaction
|
2,609
|
55.1075
USD
|
Common
|
Buy
Transaction
|
330
|
55.1092
USD
|
Common
|
Buy
Transaction
|
11
|
55.1100
USD
|
Common
|
Buy
Transaction
|
410
|
55.1200
USD
|
Common
|
Buy
Transaction
|
151
|
55.1201
USD
|
Common
|
Buy
Transaction
|
1,746
|
55.1231
USD
|
Common
|
Buy
Transaction
|
210
|
55.1250
USD
|
Common
|
Buy
Transaction
|
396
|
55.1265
USD
|
Common
|
Buy
Transaction
|
697
|
55.1299
USD
|
Common
|
Buy
Transaction
|
3,244
|
55.1300
USD
|
Common
|
Buy
Transaction
|
385
|
55.1314
USD
|
Common
|
Buy
Transaction
|
993
|
55.1317
USD
|
Common
|
Buy
Transaction
|
425
|
55.1338
USD
|
Common
|
Buy
Transaction
|
7,614
|
55.1342
USD
|
Common
|
Buy
Transaction
|
974
|
55.1359
USD
|
Common
|
Buy
Transaction
|
939
|
55.1361
USD
|
Common
|
Buy
Transaction
|
196
|
55.1367
USD
|
Common
|
Buy
Transaction
|
187
|
55.1368
USD
|
Common
|
Buy
Transaction
|
43
|
55.1372
USD
|
Common
|
Buy
Transaction
|
327
|
55.1383
USD
|
Common
|
Buy
Transaction
|
59
|
55.1400
USD
|
Common
|
Buy
Transaction
|
312
|
55.1423
USD
|
Common
|
Buy
Transaction
|
188
|
55.1434
USD
|
Common
|
Buy
Transaction
|
58
|
55.1447
USD
|
Common
|
Buy
Transaction
|
463
|
55.1451
USD
|
Common
|
Buy
Transaction
|
1,914
|
55.1476
USD
|
Common
|
Buy
Transaction
|
1,285
|
55.1477
USD
|
Common
|
Buy
Transaction
|
1,596
|
55.1479
USD
|
Common
|
Buy
Transaction
|
1,089
|
55.1485
USD
|
Common
|
Buy
Transaction
|
333
|
55.1491
USD
|
Common
|
Buy
Transaction
|
824
|
55.1500
USD
|
Common
|
Buy
Transaction
|
790
|
55.1502
USD
|
Common
|
Buy
Transaction
|
1,037
|
55.1512
USD
|
Common
|
Buy
Transaction
|
395
|
55.1514
USD
|
Common
|
Buy
Transaction
|
1,744
|
55.1538
USD
|
Common
|
Buy
Transaction
|
69
|
55.1542
USD
|
Common
|
Buy
Transaction
|
1,473
|
55.1542
USD
|
Common
|
Buy
Transaction
|
190
|
55.1547
USD
|
Common
|
Buy
Transaction
|
200
|
55.1550
USD
|
Common
|
Buy
Transaction
|
326
|
55.1554
USD
|
Common
|
Buy
Transaction
|
2,076
|
55.1567
USD
|
Common
|
Buy
Transaction
|
396
|
55.1587
USD
|
Common
|
Buy
Transaction
|
23
|
55.1591
USD
|
Common
|
Buy
Transaction
|
95
|
55.1596
USD
|
Common
|
Buy
Transaction
|
2,164
|
55.1597
USD
|
Common
|
Buy
Transaction
|
182
|
55.1598
USD
|
Common
|
Buy
Transaction
|
282
|
55.1599
USD
|
Common
|
Buy
Transaction
|
949
|
55.1600
USD
|
Common
|
Buy
Transaction
|
907
|
55.1607
USD
|
Common
|
Buy
Transaction
|
387
|
55.1624
USD
|
Common
|
Buy
Transaction
|
142
|
55.1628
USD
|
Common
|
Buy
Transaction
|
444
|
55.1633
USD
|
Common
|
Buy
Transaction
|
15
|
55.1640
USD
|
Common
|
Buy
Transaction
|
243
|
55.1649
USD
|
Common
|
Buy
Transaction
|
5,116
|
55.1651
USD
|
Common
|
Buy
Transaction
|
34
|
55.1668
USD
|
Common
|
Buy
Transaction
|
129
|
55.1696
USD
|
Common
|
Buy
Transaction
|
883
|
55.1700
USD
|
Common
|
Buy
Transaction
|
1,428
|
55.1703
USD
|
Common
|
Buy
Transaction
|
10
|
55.1720
USD
|
Common
|
Buy
Transaction
|
590
|
55.1740
USD
|
Common
|
Buy
Transaction
|
284
|
55.1750
USD
|
Common
|
Buy
Transaction
|
300
|
55.1750
USD
|
Common
|
Buy
Transaction
|
4,266
|
55.1771
USD
|
Common
|
Buy
Transaction
|
2,635
|
55.1799
USD
|
Common
|
Buy
Transaction
|
215
|
55.1800
USD
|
Common
|
Buy
Transaction
|
674
|
55.1810
USD
|
Common
|
Buy
Transaction
|
310
|
55.1826
USD
|
Common
|
Buy
Transaction
|
351
|
55.1853
USD
|
Common
|
Buy
Transaction
|
9,957
|
55.1853
USD
|
Common
|
Buy
Transaction
|
907
|
55.1875
USD
|
Common
|
Buy
Transaction
|
2,108
|
55.1885
USD
|
Common
|
Buy
Transaction
|
6
|
55.1900
USD
|
Common
|
Buy
Transaction
|
353
|
55.1910
USD
|
Common
|
Buy
Transaction
|
165
|
55.1918
USD
|
Common
|
Buy
Transaction
|
1,443
|
55.1925
USD
|
Common
|
Buy
Transaction
|
2,458
|
55.1925
USD
|
Common
|
Buy
Transaction
|
7,287
|
55.1945
USD
|
Common
|
Buy
Transaction
|
28
|
55.1950
USD
|
Common
|
Buy
Transaction
|
326
|
55.1984
USD
|
Common
|
Buy
Transaction
|
220
|
55.2000
USD
|
Common
|
Buy
Transaction
|
123
|
55.2002
USD
|
Common
|
Buy
Transaction
|
374
|
55.2024
USD
|
Common
|
Buy
Transaction
|
24,912
|
55.2100
USD
|
Common
|
Buy
Transaction
|
2,187
|
55.2138
USD
|
Common
|
Buy
Transaction
|
23
|
55.2191
USD
|
Common
|
Buy
Transaction
|
308
|
55.2200
USD
|
Common
|
Buy
Transaction
|
10
|
55.2220
USD
|
Common
|
Buy
Transaction
|
1,117
|
55.2267
USD
|
Common
|
Buy
Transaction
|
200
|
55.2350
USD
|
Common
|
Buy
Transaction
|
1,178
|
55.2361
USD
|
Common
|
Buy
Transaction
|
162
|
55.2370
USD
|
Common
|
Buy
Transaction
|
300
|
55.2400
USD
|
Common
|
Buy
Transaction
|
202
|
55.2500
USD
|
Common
|
Buy
Transaction
|
11
|
55.2518
USD
|
Common
|
Buy
Transaction
|
28
|
55.2529
USD
|
Common
|
Buy
Transaction
|
14
|
55.2607
USD
|
Common
|
Buy
Transaction
|
518
|
55.2610
USD
|
Common
|
Buy
Transaction
|
100
|
55.2700
USD
|
Common
|
Buy
Transaction
|
124
|
55.2752
USD
|
Common
|
Buy
Transaction
|
296
|
55.2763
USD
|
Common
|
Buy
Transaction
|
201
|
55.2800
USD
|
Common
|
Buy
Transaction
|
18
|
55.2800
USD
|
Common
|
Buy
Transaction
|
1
|
55.2900
USD
|
Common
|
Buy
Transaction
|
144
|
55.2951
USD
|
Common
|
Buy
Transaction
|
57
|
55.3051
USD
|
Common
|
Buy
Transaction
|
105
|
55.3180
USD
|
Common
|
Buy
Transaction
|
251
|
55.3200
USD
|
Common
|
DVP
Transaction
|
3
|
54.9667
USD
|
Common
|
DVP
Transaction
|
4
|
55.0500
USD
|
Common
|
DVP
Transaction
|
1,341
|
55.1000
USD
|
Common
|
DVP
Transaction
|
19
|
55.1058
USD
|
Common
|
DVP
Transaction
|
18
|
55.1100
USD
|
Common
|
DVP
Transaction
|
18
|
55.1122
USD
|
Common
|
DVP
Transaction
|
12
|
55.1150
USD
|
Common
|
DVP
Transaction
|
23
|
55.1257
USD
|
Common
|
DVP
Transaction
|
19
|
55.1332
USD
|
Common
|
DVP
Transaction
|
7
|
55.1400
USD
|
Common
|
DVP
Transaction
|
10
|
55.1500
USD
|
Common
|
DVP
Transaction
|
42
|
55.1505
USD
|
Common
|
DVP
Transaction
|
355
|
55.1528
USD
|
Common
|
DVP
Transaction
|
83
|
55.1833
USD
|
Common
|
DVP
Transaction
|
12,328
|
55.2100
USD
|
Common
|
DVP
Transaction
|
1
|
55.2200
USD
|
Common
|
DVP
Transaction
|
57
|
55.3050
USD
|
Common
|
RVP
Transaction
|
4
|
55.0500
USD
|
Common
|
RVP
Transaction
|
13
|
55.0777
USD
|
Common
|
RVP
Transaction
|
769
|
55.1000
USD
|
Common
|
RVP
Transaction
|
639
|
55.1021
USD
|
Common
|
RVP
Transaction
|
23
|
55.1200
USD
|
Common
|
RVP
Transaction
|
36
|
55.1300
USD
|
Common
|
RVP
Transaction
|
130
|
55.1315
USD
|
Common
|
RVP
Transaction
|
63
|
55.1457
USD
|
Common
|
RVP
Transaction
|
10
|
55.1500
USD
|
Common
|
RVP
Transaction
|
51
|
55.1559
USD
|
Common
|
RVP
Transaction
|
106
|
55.1598
USD
|
Common
|
RVP
Transaction
|
36
|
55.1900
USD
|
Common
|
RVP
Transaction
|
9
|
55.1933
USD
|
Common
|
RVP
Transaction
|
7
|
55.1986
USD
|
Common
|
RVP
Transaction
|
172
|
55.2080
USD
|
Common
|
RVP
Transaction
|
12,211
|
55.2100
USD
|
Common
|
RVP
Transaction
|
4
|
55.2200
USD
|
Common
|
RVP
Transaction
|
57
|
55.3050
USD
|
Common
|
Sell
Transaction
|
1
|
54.9300
USD
|
Common
|
Sell
Transaction
|
100
|
54.9700
USD
|
Common
|
Sell
Transaction
|
10
|
55.0050
USD
|
Common
|
Sell
Transaction
|
103
|
55.0100
USD
|
Common
|
Sell
Transaction
|
1
|
55.0300
USD
|
Common
|
Sell
Transaction
|
6
|
55.0400
USD
|
Common
|
Sell
Transaction
|
207
|
55.0473
USD
|
Common
|
Sell
Transaction
|
6
|
55.0483
USD
|
Common
|
Sell
Transaction
|
7
|
55.0500
USD
|
Common
|
Sell
Transaction
|
800
|
55.0700
USD
|
Common
|
Sell
Transaction
|
100
|
55.0800
USD
|
Common
|
Sell
Transaction
|
8
|
55.0850
USD
|
Common
|
Sell
Transaction
|
329
|
55.0900
USD
|
Common
|
Sell
Transaction
|
220
|
55.0909
USD
|
Common
|
Sell
Transaction
|
123
|
55.0924
USD
|
Common
|
Sell
Transaction
|
1,364
|
55.0951
USD
|
Common
|
Sell
Transaction
|
348
|
55.0961
USD
|
Common
|
Sell
Transaction
|
300
|
55.0967
USD
|
Common
|
Sell
Transaction
|
454
|
55.1000
USD
|
Common
|
Sell
Transaction
|
240
|
55.1056
USD
|
Common
|
Sell
Transaction
|
2,027
|
55.1067
USD
|
Common
|
Sell
Transaction
|
100
|
55.1077
USD
|
Common
|
Sell
Transaction
|
52
|
55.1085
USD
|
Common
|
Sell
Transaction
|
400
|
55.1100
USD
|
Common
|
Sell
Transaction
|
848
|
55.1133
USD
|
Common
|
Sell
Transaction
|
828
|
55.1135
USD
|
Common
|
Sell
Transaction
|
345
|
55.1174
USD
|
Common
|
Sell
Transaction
|
736
|
55.1200
USD
|
Common
|
Sell
Transaction
|
201
|
55.1203
USD
|
Common
|
Sell
Transaction
|
400
|
55.1236
USD
|
Common
|
Sell
Transaction
|
41
|
55.1246
USD
|
Common
|
Sell
Transaction
|
100
|
55.1255
USD
|
Common
|
Sell
Transaction
|
552
|
55.1300
USD
|
Common
|
Sell
Transaction
|
7,614
|
55.1342
USD
|
Common
|
Sell
Transaction
|
100
|
55.1350
USD
|
Common
|
Sell
Transaction
|
407
|
55.1353
USD
|
Common
|
Sell
Transaction
|
61
|
55.1359
USD
|
Common
|
Sell
Transaction
|
739
|
55.1360
USD
|
Common
|
Sell
Transaction
|
605
|
55.1364
USD
|
Common
|
Sell
Transaction
|
1,126
|
55.1379
USD
|
Common
|
Sell
Transaction
|
1,933
|
55.1381
USD
|
Common
|
Sell
Transaction
|
422
|
55.1386
USD
|
Common
|
Sell
Transaction
|
858
|
55.1390
USD
|
Common
|
Sell
Transaction
|
300
|
55.1390
USD
|
Common
|
Sell
Transaction
|
14
|
55.1393
USD
|
Common
|
Sell
Transaction
|
294
|
55.1400
USD
|
Common
|
Sell
Transaction
|
101
|
55.1401
USD
|
Common
|
Sell
Transaction
|
1
|
55.1404
USD
|
Common
|
Sell
Transaction
|
304
|
55.1410
USD
|
Common
|
Sell
Transaction
|
476
|
55.1421
USD
|
Common
|
Sell
Transaction
|
482
|
55.1427
USD
|
Common
|
Sell
Transaction
|
9,922
|
55.1444
USD
|
Common
|
Sell
Transaction
|
100
|
55.1450
USD
|
Common
|
Sell
Transaction
|
4,761
|
55.1451
USD
|
Common
|
Sell
Transaction
|
100
|
55.1456
USD
|
Common
|
Sell
Transaction
|
100
|
55.1460
USD
|
Common
|
Sell
Transaction
|
100
|
55.1462
USD
|
Common
|
Sell
Transaction
|
105
|
55.1468
USD
|
Common
|
Sell
Transaction
|
267
|
55.1468
USD
|
Common
|
Sell
Transaction
|
88
|
55.1479
USD
|
Common
|
Sell
Transaction
|
200
|
55.1481
USD
|
Common
|
Sell
Transaction
|
100
|
55.1482
USD
|
Common
|
Sell
Transaction
|
200
|
55.1484
USD
|
Common
|
Sell
Transaction
|
7,874
|
55.1493
USD
|
Common
|
Sell
Transaction
|
277
|
55.1495
USD
|
Common
|
Sell
Transaction
|
2,116
|
55.1497
USD
|
Common
|
Sell
Transaction
|
398
|
55.1500
USD
|
Common
|
Sell
Transaction
|
102
|
55.1511
USD
|
Common
|
Sell
Transaction
|
200
|
55.1512
USD
|
Common
|
Sell
Transaction
|
80
|
55.1516
USD
|
Common
|
Sell
Transaction
|
100
|
55.1520
USD
|
Common
|
Sell
Transaction
|
341
|
55.1522
USD
|
Common
|
Sell
Transaction
|
200
|
55.1522
USD
|
Common
|
Sell
Transaction
|
37
|
55.1524
USD
|
Common
|
Sell
Transaction
|
891
|
55.1534
USD
|
Common
|
Sell
Transaction
|
510
|
55.1538
USD
|
Common
|
Sell
Transaction
|
827
|
55.1555
USD
|
Common
|
Sell
Transaction
|
100
|
55.1565
USD
|
Common
|
Sell
Transaction
|
100
|
55.1578
USD
|
Common
|
Sell
Transaction
|
171
|
55.1588
USD
|
Common
|
Sell
Transaction
|
100
|
55.1590
USD
|
Common
|
Sell
Transaction
|
100
|
55.1591
USD
|
Common
|
Sell
Transaction
|
200
|
55.1598
USD
|
Common
|
Sell
Transaction
|
101
|
55.1600
USD
|
Common
|
Sell
Transaction
|
185
|
55.1609
USD
|
Common
|
Sell
Transaction
|
100
|
55.1611
USD
|
Common
|
Sell
Transaction
|
100
|
55.1616
USD
|
Common
|
Sell
Transaction
|
2,241
|
55.1622
USD
|
Common
|
Sell
Transaction
|
697
|
55.1636
USD
|
Common
|
Sell
Transaction
|
13
|
55.1650
USD
|
Common
|
Sell
Transaction
|
142
|
55.1663
USD
|
Common
|
Sell
Transaction
|
6,579
|
55.1663
USD
|
Common
|
Sell
Transaction
|
1,410
|
55.1698
USD
|
Common
|
Sell
Transaction
|
301
|
55.1700
USD
|
Common
|
Sell
Transaction
|
3,713
|
55.1719
USD
|
Common
|
Sell
Transaction
|
132
|
55.1722
USD
|
Common
|
Sell
Transaction
|
300
|
55.1733
USD
|
Common
|
Sell
Transaction
|
896
|
55.1741
USD
|
Common
|
Sell
Transaction
|
550
|
55.1745
USD
|
Common
|
Sell
Transaction
|
200
|
55.1750
USD
|
Common
|
Sell
Transaction
|
100
|
55.1753
USD
|
Common
|
Sell
Transaction
|
7
|
55.1757
USD
|
Common
|
Sell
Transaction
|
9,313
|
55.1768
USD
|
Common
|
Sell
Transaction
|
100
|
55.1769
USD
|
Common
|
Sell
Transaction
|
533
|
55.1771
USD
|
Common
|
Sell
Transaction
|
154
|
55.1775
USD
|
Common
|
Sell
Transaction
|
100
|
55.1784
USD
|
Common
|
Sell
Transaction
|
5,677
|
55.1796
USD
|
Common
|
Sell
Transaction
|
517
|
55.1800
USD
|
Common
|
Sell
Transaction
|
100
|
55.1805
USD
|
Common
|
Sell
Transaction
|
1,064
|
55.1828
USD
|
Common
|
Sell
Transaction
|
2,726
|
55.1853
USD
|
Common
|
Sell
Transaction
|
175
|
55.1869
USD
|
Common
|
Sell
Transaction
|
100
|
55.1883
USD
|
Common
|
Sell
Transaction
|
2,806
|
55.1892
USD
|
Common
|
Sell
Transaction
|
300
|
55.1900
USD
|
Common
|
Sell
Transaction
|
449
|
55.1915
USD
|
Common
|
Sell
Transaction
|
160
|
55.1935
USD
|
Common
|
Sell
Transaction
|
10,200
|
55.1945
USD
|
Common
|
Sell
Transaction
|
32
|
55.1947
USD
|
Common
|
Sell
Transaction
|
2
|
55.1950
USD
|
Common
|
Sell
Transaction
|
100
|
55.1954
USD
|
Common
|
Sell
Transaction
|
952
|
55.1957
USD
|
Common
|
Sell
Transaction
|
437
|
55.1961
USD
|
Common
|
Sell
Transaction
|
100
|
55.1962
USD
|
Common
|
Sell
Transaction
|
1,571
|
55.1997
USD
|
Common
|
Sell
Transaction
|
443
|
55.1998
USD
|
Common
|
Sell
Transaction
|
355
|
55.2000
USD
|
Common
|
Sell
Transaction
|
176
|
55.2000
USD
|
Common
|
Sell
Transaction
|
100
|
55.2016
USD
|
Common
|
Sell
Transaction
|
104
|
55.2019
USD
|
Common
|
Sell
Transaction
|
100
|
55.2020
USD
|
Common
|
Sell
Transaction
|
1,224
|
55.2021
USD
|
Common
|
Sell
Transaction
|
295
|
55.2037
USD
|
Common
|
Sell
Transaction
|
1,597
|
55.2040
USD
|
Common
|
Sell
Transaction
|
1,264
|
55.2046
USD
|
Common
|
Sell
Transaction
|
561
|
55.2052
USD
|
Common
|
Sell
Transaction
|
1,809
|
55.2057
USD
|
Common
|
Sell
Transaction
|
27,293
|
55.2100
USD
|
Common
|
Sell
Transaction
|
100
|
55.2129
USD
|
Common
|
Sell
Transaction
|
100
|
55.2138
USD
|
Common
|
Sell
Transaction
|
100
|
55.2147
USD
|
Common
|
Sell
Transaction
|
89
|
55.2164
USD
|
Common
|
Sell
Transaction
|
1
|
55.2168
USD
|
Common
|
Sell
Transaction
|
360
|
55.2171
USD
|
Common
|
Sell
Transaction
|
120
|
55.2183
USD
|
Common
|
Sell
Transaction
|
105
|
55.2200
USD
|
Common
|
Sell
Transaction
|
453
|
55.2216
USD
|
Common
|
Sell
Transaction
|
1,295
|
55.2224
USD
|
Common
|
Sell
Transaction
|
100
|
55.2235
USD
|
Common
|
Sell
Transaction
|
75
|
55.2265
USD
|
Common
|
Sell
Transaction
|
100
|
55.2277
USD
|
Common
|
Sell
Transaction
|
103
|
55.2283
USD
|
Common
|
Sell
Transaction
|
6
|
55.2283
USD
|
Common
|
Sell
Transaction
|
922
|
55.2287
USD
|
Common
|
Sell
Transaction
|
100
|
55.2294
USD
|
Common
|
Sell
Transaction
|
93
|
55.2297
USD
|
Common
|
Sell
Transaction
|
295
|
55.2300
USD
|
Common
|
Sell
Transaction
|
2,219
|
55.2305
USD
|
Common
|
Sell
Transaction
|
1,522
|
55.2329
USD
|
Common
|
Sell
Transaction
|
100
|
55.2373
USD
|
Common
|
Sell
Transaction
|
114
|
55.2381
USD
|
Common
|
Sell
Transaction
|
20
|
55.2385
USD
|
Common
|
Sell
Transaction
|
9
|
55.2389
USD
|
Common
|
Sell
Transaction
|
21
|
55.2390
USD
|
Common
|
Sell
Transaction
|
301
|
55.2391
USD
|
Common
|
Sell
Transaction
|
12
|
55.2392
USD
|
Common
|
Sell
Transaction
|
250
|
55.2393
USD
|
Common
|
Sell
Transaction
|
671
|
55.2400
USD
|
Common
|
Sell
Transaction
|
100
|
55.2418
USD
|
Common
|
Sell
Transaction
|
104
|
55.2433
USD
|
Common
|
Sell
Transaction
|
117
|
55.2480
USD
|
Common
|
Sell
Transaction
|
3
|
55.2500
USD
|
Common
|
Sell
Transaction
|
100
|
55.2516
USD
|
Common
|
Sell
Transaction
|
1,181
|
55.2541
USD
|
Common
|
Sell
Transaction
|
100
|
55.2570
USD
|
Common
|
Sell
Transaction
|
142
|
55.2594
USD
|
Common
|
Sell
Transaction
|
335
|
55.2600
USD
|
Common
|
Sell
Transaction
|
215
|
55.2681
USD
|
Common
|
Sell
Transaction
|
400
|
55.2700
USD
|
Common
|
Sell
Transaction
|
100
|
55.2786
USD
|
Common
|
Sell
Transaction
|
254
|
55.2789
USD
|
Common
|
Sell
Transaction
|
50
|
55.2800
USD
|
Common
|
Sell
Transaction
|
100
|
55.2869
USD
|
Common
|
Sell
Transaction
|
1
|
55.2900
USD
|
Common
|
Sell
Transaction
|
100
|
55.2924
USD
|
Common
|
Sell
Transaction
|
220
|
55.3000
USD
|
Common
|
Sell
Transaction
|
100
|
55.3091
USD
|
Common
|
Sell
Transaction
|
1
|
55.3100
USD
|
Common
|
Sell
Transaction
|
100
|
55.3187
USD
|
Common
|
Sell
Transaction
|
1
|
55.3200
USD
|
Common
|
Sell
Transaction
|
100
|
55.3219
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
|
(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
|
Common
|
Call Option
|
Buy Transaction
|
3
|
57.0000 USD
|
American
|
2025-Jan-03
|
0.1500 USD
|
Common
|
Call Option
|
Buy Transaction
|
2
|
60.0000 USD
|
American
|
2025-Jan-17
|
0.1700 USD
|
Common
|
Put Option
|
Buy Transaction
|
1
|
52.0000 USD
|
American
|
2025-Jan-10
|
0.2000 USD
|
Common
|
Put Option
|
Buy Transaction
|
15
|
47.0000 USD
|
American
|
2025-Jan-31
|
0.2000 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
57.0000 USD
|
American
|
2025-Jan-10
|
0.4200 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
57.5000 USD
|
American
|
2025-Jan-17
|
0.5000 USD
|
Common
|
Call Option
|
Buy Transaction
|
3
|
60.0000 USD
|
American
|
2025-Feb-07
|
0.5700 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
60.0000 USD
|
American
|
2025-Feb-21
|
0.7500 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
60.0000 USD
|
American
|
2025-Feb-21
|
0.8500 USD
|
Common
|
Call Option
|
Buy Transaction
|
9
|
56.0000 USD
|
American
|
2025-Jan-17
|
0.9600 USD
|
Common
|
Call Option
|
Buy Transaction
|
2
|
55.0000 USD
|
American
|
2025-Jan-17
|
1.5000 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
60.0000 USD
|
American
|
2025-Apr-17
|
1.6500 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
54.0000 USD
|
American
|
2025-Jan-24
|
2.0000 USD
|
Common
|
Call Option
|
Buy Transaction
|
1
|
55.0000 USD
|
American
|
2025-Feb-21
|
2.6200 USD
|
Common
|
Put Option
|
Buy Transaction
|
1
|
50.0000 USD
|
American
|
2026-Jan-16
|
3.7000 USD
|
Common
|
Put Option
|
Buy Transaction
|
1
|
57.5000 USD
|
American
|
2025-Feb-21
|
3.7300 USD
|
Common
|
Call Option
|
Buy Transaction
|
40
|
50.0000 USD
|
American
|
2025-Sep-19
|
8.2000 USD
|
Common
|
Call Option
|
Sell Transaction
|
4
|
62.0000 USD
|
American
|
2025-Jan-10
|
0.1000 USD
|
Common
|
Put Option
|
Sell Transaction
|
1
|
52.0000 USD
|
American
|
2025-Jan-10
|
0.2000 USD
|
Common
|
Call Option
|
Sell Transaction
|
1
|
56.0000 USD
|
American
|
2025-Jan-03
|
0.4000 USD
|
Common
|
Call Option
|
Sell Transaction
|
1
|
62.5000 USD
|
American
|
2025-Feb-21
|
0.4500 USD
|
Common
|
Put Option
|
Sell Transaction
|
1
|
45.0000 USD
|
American
|
2025-Sep-19
|
1.5000 USD
|
Common
|
Put Option
|
Sell Transaction
|
1
|
47.5000 USD
|
American
|
2025-Sep-19
|
2.0500 USD
|
Common
|
Put Option
|
Sell Transaction
|
8
|
47.5000 USD
|
American
|
2026-Jan-16
|
3.0000 USD
|
Common
|
Call Option
|
Sell Transaction
|
1
|
52.5000 USD
|
American
|
2025-Jan-17
|
3.3100 USD
|
Common
|
Call Option
|
Sell Transaction
|
1
|
62.5000 USD
|
American
|
2026-Jan-16
|
3.7100 USD
|
Common
|
Put Option
|
Sell Transaction
|
1
|
55.0000 USD
|
American
|
2026-Jan-16
|
5.8000 USD
|
Common
|
Call Option
|
Sell Transaction
|
7
|
47.5000 USD
|
American
|
2025-Jan-17
|
7.9000 USD
|
(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:
|
27 December 2024
|
Contact name:
|
Paula Santos
|
Telephone number*:
|
020 7645 9700
|
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.
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
Full
name of person making disclosure:
|
Citadel Group
|
Name
of offeror/offeree in relation to whose relevant securities the
disclosure relates:
|
INTERNATIONAL PAPER CO
|
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
|
Common
|
Call Option
|
Purchased
|
5,500
|
55.0 USD
|
American
|
21/02/2025
|
Common
|
Call Option
|
Purchased
|
2,400
|
40.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
100
|
59.0 USD
|
American
|
31/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
62.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
21,800
|
62.5 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Purchased
|
-200
|
40.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
100
|
57.5 USD
|
American
|
18/07/2025
|
Common
|
Call Option
|
Purchased
|
1,000
|
80.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
0
|
56.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Purchased
|
-700
|
54.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
27.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-1,600
|
42.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
20,700
|
57.5 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Purchased
|
2,000
|
61.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
59,700
|
55.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
100
|
62.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Purchased
|
1,500
|
54.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Purchased
|
300
|
55.0 USD
|
American
|
18/07/2025
|
Common
|
Call Option
|
Purchased
|
100
|
62.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
3,000
|
51.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-100
|
32.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-31,600
|
50.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
400
|
59.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-100
|
45.0 USD
|
American
|
21/02/2025
|
Common
|
Call Option
|
Purchased
|
300
|
47.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
700
|
52.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-1,000
|
35.0 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Purchased
|
-9,800
|
57.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
5,100
|
67.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-2,800
|
20.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
200
|
54.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
600
|
32.5 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
-100
|
35.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
2,600
|
60.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
100
|
62.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Purchased
|
-42,300
|
55.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-500
|
37.5 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-500
|
20.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
400
|
60.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
800
|
40.0 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
-2,400
|
53.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-700
|
42.5 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Purchased
|
-5,000
|
51.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Purchased
|
-500
|
37.5 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Purchased
|
-2,500
|
45.0 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-200
|
42.5 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Purchased
|
100
|
32.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
7,200
|
62.5 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
500
|
67.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
201,000
|
45.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
37.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
5,200
|
50.0 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Purchased
|
2,500
|
65.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
100
|
35.0 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
-10,500
|
45.0 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
6,000
|
55.0 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Purchased
|
-200
|
50.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Purchased
|
700
|
50.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-8,300
|
42.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-12,500
|
50.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
30,900
|
55.0 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
300
|
42.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
68,800
|
50.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
81,500
|
54.9 USD
|
European
|
14/10/2025
|
Common
|
Call Option
|
Purchased
|
300
|
60.0 USD
|
American
|
07/02/2025
|
Common
|
Call Option
|
Purchased
|
3,000
|
60.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
300
|
60.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Purchased
|
1,500
|
57.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
900
|
52.5 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
-3,600
|
45.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
6,700
|
35.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
9,000
|
65.0 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Purchased
|
-7,900
|
52.5 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-3,200
|
22.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
900
|
58.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
67.5 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
1,900
|
50.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-1,500
|
47.0 USD
|
American
|
31/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
54.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Purchased
|
1,000
|
54.0 USD
|
American
|
31/01/2025
|
Common
|
Call Option
|
Purchased
|
5,600
|
57.5 USD
|
American
|
21/02/2025
|
Common
|
Call Option
|
Purchased
|
20,400
|
27.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-200
|
25.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-200
|
57.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Purchased
|
1,700
|
32.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
500
|
53.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-28,000
|
58.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Purchased
|
-700
|
40.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
500
|
60.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
28,900
|
52.5 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
52.5 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
700
|
57.5 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
52.0 USD
|
American
|
31/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
35.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-20,600
|
56.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
1,100
|
56.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
11,400
|
55.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
1,000
|
60.0 USD
|
American
|
18/07/2025
|
Common
|
Put Option
|
Purchased
|
-7,100
|
50.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
2,500
|
55.0 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-4,900
|
55.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Purchased
|
-400
|
42.5 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
22,200
|
52.5 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
13,600
|
55.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
65.0 USD
|
American
|
18/07/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
47.5 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
800
|
59.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
81,500
|
54.9 USD
|
European
|
15/10/2025
|
Common
|
Put Option
|
Purchased
|
-50,000
|
54.9 USD
|
European
|
15/10/2025
|
Common
|
Put Option
|
Purchased
|
-50,000
|
52.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
400
|
55.0 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
-24,000
|
22.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
1,900
|
57.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-50,000
|
54.9 USD
|
European
|
13/10/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
50.0 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Purchased
|
-8,500
|
40.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-3,400
|
50.0 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Purchased
|
100
|
57.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Purchased
|
200
|
70.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-6,500
|
27.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-100
|
50.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
1,600
|
70.0 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Purchased
|
-12,000
|
25.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
3,600
|
70.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
500
|
40.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
21,600
|
62.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
61.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Purchased
|
-50,000
|
54.9 USD
|
European
|
14/10/2025
|
Common
|
Call Option
|
Purchased
|
200
|
30.0 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-4,100
|
55.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
600
|
30.0 USD
|
American
|
15/01/2027
|
Common
|
Call Option
|
Purchased
|
300
|
67.5 USD
|
American
|
15/01/2027
|
Common
|
Put Option
|
Purchased
|
0
|
57.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
5,200
|
60.0 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Purchased
|
600
|
55.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Purchased
|
5,900
|
37.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
81,500
|
54.9 USD
|
European
|
13/10/2025
|
Common
|
Call Option
|
Purchased
|
38,500
|
42.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-5,400
|
17.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
500
|
45.0 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Purchased
|
-500
|
35.0 USD
|
American
|
18/07/2025
|
Common
|
Put Option
|
Purchased
|
-2,100
|
60.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
13,200
|
57.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Purchased
|
-1,200
|
15.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
59,400
|
52.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
500
|
58.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Purchased
|
51,600
|
40.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-20,000
|
55.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
300
|
70.0 USD
|
American
|
15/01/2027
|
Common
|
Call Option
|
Purchased
|
700
|
65.0 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Purchased
|
-12,100
|
37.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
56.0 USD
|
American
|
31/01/2025
|
Common
|
Put Option
|
Purchased
|
-4,500
|
45.0 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Purchased
|
-4,000
|
32.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-1,200
|
52.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Purchased
|
2,400
|
65.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Purchased
|
-11,400
|
55.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Purchased
|
300
|
58.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
100
|
37.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
15,200
|
50.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
100
|
40.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Purchased
|
13,300
|
60.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
1,400
|
57.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Purchased
|
2,100
|
52.5 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Purchased
|
2,400
|
50.0 USD
|
American
|
15/01/2027
|
Common
|
Call Option
|
Purchased
|
100
|
54.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Purchased
|
40,800
|
52.5 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Purchased
|
0
|
47.5 USD
|
American
|
15/01/2027
|
Common
|
Call Option
|
Purchased
|
3,100
|
30.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Purchased
|
-6,300
|
17.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-2,000
|
42.5 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Sold
|
6,100
|
60.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Sold
|
-100
|
75.0 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Sold
|
300
|
55.0 USD
|
American
|
18/07/2025
|
Common
|
Put Option
|
Sold
|
200
|
50.0 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
300
|
55.0 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Sold
|
600
|
60.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Sold
|
-200
|
59.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Sold
|
65,800
|
30.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
6,800
|
55.0 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Sold
|
16,200
|
32.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-10,200
|
47.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
300
|
52.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Sold
|
-3,700
|
55.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-100
|
59.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Sold
|
100
|
37.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
21,000
|
57.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
1,600
|
52.5 USD
|
American
|
21/02/2025
|
Common
|
Call Option
|
Sold
|
-200
|
56.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Sold
|
1,900
|
52.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
45,000
|
47.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-495,400
|
47.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
7,200
|
54.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Sold
|
12,900
|
45.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-700
|
60.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Sold
|
-29,200
|
58.0 USD
|
American
|
10/01/2025
|
Common
|
Put Option
|
Sold
|
500
|
54.0 USD
|
American
|
10/01/2025
|
Common
|
Put Option
|
Sold
|
1,100
|
47.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-5,500
|
56.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Sold
|
1,200
|
57.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Sold
|
-100
|
51.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Sold
|
5,100
|
57.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
1,000
|
47.5 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Sold
|
40,900
|
45.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
1,100
|
50.0 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Sold
|
9,000
|
47.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
200
|
65.0 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Sold
|
2,600
|
53.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Sold
|
1,500
|
55.0 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Sold
|
2,200
|
52.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Sold
|
2,400
|
52.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-5,000
|
37.5 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
400
|
57.5 USD
|
American
|
21/02/2025
|
Common
|
Call Option
|
Sold
|
-7,900
|
70.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
4,800
|
25.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-600
|
50.0 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Sold
|
100
|
60.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-43,100
|
55.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
200
|
57.5 USD
|
American
|
18/07/2025
|
Common
|
Put Option
|
Sold
|
1,200
|
56.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Sold
|
-400
|
37.5 USD
|
American
|
19/09/2025
|
Common
|
Put Option
|
Sold
|
400
|
55.0 USD
|
American
|
10/01/2025
|
Common
|
Put Option
|
Sold
|
500
|
35.0 USD
|
American
|
15/01/2027
|
Common
|
Call Option
|
Sold
|
-1,000
|
85.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-200
|
20.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-8,800
|
45.0 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Sold
|
-4,200
|
42.5 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Sold
|
-100
|
52.5 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Sold
|
3,000
|
30.0 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-200
|
30.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-1,100
|
57.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-5,800
|
57.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Sold
|
4,200
|
37.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
100
|
57.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Sold
|
-400
|
42.5 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Sold
|
-200
|
56.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-2,500
|
47.5 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Sold
|
-200
|
65.0 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Sold
|
1,000
|
47.5 USD
|
American
|
19/09/2025
|
Common
|
Call Option
|
Sold
|
-800
|
47.5 USD
|
American
|
20/06/2025
|
Common
|
Put Option
|
Sold
|
100
|
49.0 USD
|
American
|
24/01/2025
|
Common
|
Call Option
|
Sold
|
-600
|
58.0 USD
|
American
|
27/12/2024
|
Common
|
Put Option
|
Sold
|
100
|
62.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
3,000
|
62.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
200
|
59.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Sold
|
-100
|
53.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-113,400
|
60.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
3,000
|
62.5 USD
|
American
|
20/06/2025
|
Common
|
Call Option
|
Sold
|
-3,600
|
62.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
1,800
|
56.0 USD
|
American
|
03/01/2025
|
Common
|
Put Option
|
Sold
|
1,100
|
53.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-1,900
|
47.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-3,300
|
55.0 USD
|
American
|
27/12/2024
|
Common
|
Call Option
|
Sold
|
-2,200
|
45.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
17,000
|
50.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-500
|
65.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
300
|
48.0 USD
|
American
|
24/01/2025
|
Common
|
Put Option
|
Sold
|
20,500
|
52.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
21,800
|
55.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Sold
|
-1,600
|
65.0 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Sold
|
154,400
|
40.0 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-2,400
|
42.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-9,800
|
62.5 USD
|
American
|
17/04/2025
|
Common
|
Put Option
|
Sold
|
100
|
51.0 USD
|
American
|
10/01/2025
|
Common
|
Call Option
|
Sold
|
-33,500
|
57.5 USD
|
American
|
17/01/2025
|
Common
|
Call Option
|
Sold
|
-100
|
45.0 USD
|
American
|
17/10/2025
|
Common
|
Put Option
|
Sold
|
100
|
27.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-500
|
60.0 USD
|
American
|
21/02/2025
|
Common
|
Put Option
|
Sold
|
2,700
|
42.5 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
900
|
52.5 USD
|
American
|
16/01/2026
|
Common
|
Call Option
|
Sold
|
-10,400
|
50.0 USD
|
American
|
17/04/2025
|
Common
|
Call Option
|
Sold
|
-200
|
50.0 USD
|
American
|
17/10/2025
|
Common
|
Call Option
|
Sold
|
-6,700
|
60.0 USD
|
American
|
16/01/2026
|
Common
|
Put Option
|
Sold
|
29,100
|
35.0 USD
|
American
|
17/01/2025
|
Common
|
Put Option
|
Sold
|
1,400
|
55.0 USD
|
American
|
03/01/2025
|
Common
|
Call Option
|
Sold
|
-800
|
60.0 USD
|
American
|
19/09/2025
|
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.