TIDMTT.

RNS Number : 4142Q

TUI Travel PLC

14 October 2013

 
 TR-1: NOTIFICATION OF MAJOR INTEREST IN SHARES(i) 
-------------------------------------------------- 
 
 
 
 1. Identity of the issuer or                                 TUI Travel PLC 
  the underlying issuer 
  of existing shares to which 
  voting rights are 
  attached: (ii) 
-----------------------------------------------------------  ---------------------------------------------- 
 2 Reason for the notification (please tick the appropriate 
  box or boxes): 
----------------------------------------------------------------------------------------------------------- 
 An acquisition or disposal of voting rights 
-----------------------------------------------------------------------------------------------------  ---- 
 An acquisition or disposal of qualifying financial 
  instruments which may result in the acquisition 
  of shares already issued to which voting rights 
  are attached 
-----------------------------------------------------------------------------------------------------  ---- 
 An acquisition or disposal of instruments with 
  similar economic effect to qualifying financial 
  instruments 
-----------------------------------------------------------------------------------------------------  ---- 
 An event changing the breakdown of voting rights 
-----------------------------------------------------------------------------------------------------  ---- 
 Other (please                                            Transfer of legal title to shares             YES 
  specify):                                               and convertible bonds in which TUI 
                                                          AG has an interest, but with no change 
                                                          in TUI AG's aggregate interest in 
                                                          such shares and convertible bonds 
                                                          (see note 1 and 2, section 13) 
-------------------------------------------------------  --------------------------------------------  ---- 
 3. Full name of person(s)                                  TUI AG, a company incorporated 
  subject to the                                             in Germany whose registered 
  notification obligation:                                   office is at Karl-Wiechert- 
  (iii)                                                      Allee 4, 30625 Hannover, Germany 
---------------------------------------------------------  ------------------------------------------------ 
 4. Full name of shareholder(s)                             As above 
  (if different from 3.):(iv) 
---------------------------------------------------------  ------------------------------------------------ 
 5. Date of the transaction                                 10 October 2013 
  and date on 
  which the threshold is 
  crossed or 
  reached: (v) 
---------------------------------------------------------  ------------------------------------------------ 
 6. Date on which issuer                                    11 October 2013 
  notified: 
---------------------------------------------------------  ------------------------------------------------ 
 7. Threshold(s) that is/are                                No change 
  crossed or 
  reached: (vi, vii) 
---------------------------------------------------------  ------------------------------------------------ 
 
 
 
 8. Notified details: 
------------------------------------------------------------------------------------------------------------ 
 A: Voting rights attached to shares (viii, ix) 
------------------------------------------------------------------------------------------------------------ 
 Class/type      Situation previous          Resulting situation after the 
  of              to the triggering           triggering transaction 
  shares          transaction 
 
  if possible 
  using 
  the ISIN 
  CODE 
--------------  --------------------------  ---------------------------------------------------------------- 
                 Number        Number        Number          Number of voting             % of voting 
                  of            of            of shares       rights                       rights (x) 
                  Shares        Voting 
                                Rights 
--------------  ------------  ------------  --------------  ---------------------------  ------------------- 
                                             Direct          Direct          Indirect     Direct    Indirect 
                                                              (xi)            (xii) 
--------------  ------------  ------------  --------------  --------------  -----------  --------  --------- 
 
 GB00B1Z7RQ77    609,120,138   609,120,138     522,153,089    522,153,089    86,967,049    46.7%      7.8% 
--------------  ------------  ------------  --------------  --------------  -----------  --------  --------- 
 
 B: Qualifying Financial Instruments 
------------------------------------------------------------------------------------------------------------ 
 Resulting situation after the triggering transaction 
------------------------------------------------------------------------------------------------------------ 
 Type of         Expiration    Exercise/                     Number of voting             % of voting 
 financial        date          Conversion                    rights that                  rights 
 instrument       (xiii)        Period (xiv)                  may be 
                                                              acquired if 
                                                              the 
                                                              instrument 
                                                              is 
                                                              exercised/converted. 
--------------  ------------  ----------------------------  ---------------------------  ------------------- 
                               27 July 2016, 
 Contingent                     subject to 
  Forward                       terms allowing               86,967,049 
  Purchase       27 July        for earlier                   (see note 2, 
  Agreement       2016          settlement                    section 13)                 7.8% 
--------------  ------------  ----------------------------  ---------------------------  ------------------- 
 
 C: Financial Instruments with similar economic effect 
  to Qualifying Financial Instruments (xv, xvi) 
------------------------------------------------------------------------------------------------------------ 
 Resulting situation after the triggering transaction 
------------------------------------------------------------------------------------------------------------ 
 Type of         Exercise      Expiration    Exercise/       Number of voting             % of voting 
 financial        price        date          Conversion       rights instrument            rights (xix, 
 instrument                    (xvii)        period           refers to                    xx) 
                                             (xviii) 
--------------  ------------  ------------  --------------  ---------------------------  ------------------- 
 Convertible     GBP3.8234     27 April      From            18,308,312                   Nominal   Delta 
 bonds                          2017         7 June           (calculated 
 acquired                                    2010             on a delta- 
 pursuant                                    subject          adjusted basis 
 to a                                        to certain       (see note 1, 
 Contingent                                  conditions       section 13)) 
 Forward 
 Purchase 
 Agreement 
--------------  ------------  ------------  --------------  ---------------------------  --------  --------- 
                                                                                                    1.64% 
--------------  ------------  ------------  --------------  --------------  -----------  --------  --------- 
 
 Total (A+B+C) 
------------------------------------------------------------------------------------------------------------ 
 Number of voting rights                     Percentage of voting rights 
------------------------------------------  ---------------------------------------------------------------- 
 627,428,450                                 56.12% (please see note 3, 
                                              section 13) 
------------------------------------------  ---------------------------------------------------------------- 
 
 
 
 9. Chain of controlled undertakings through which the 
  voting rights and/or the 
  financial instruments are effectively held, if applicable: 
  (xxi) 
------------------------------------------------------------------------------------------------- 
 
 
 Proxy Voting: 
------------------------------------------------------------------------------------------------- 
 10. Name of the proxy holder:                             N/A 
--------------------------------------------------------  --------------------------------------- 
 11. Number of voting rights proxy                         N/A 
  holder will cease 
  to hold: 
--------------------------------------------------------  --------------------------------------- 
 12. Date on which proxy holder will                       N/A 
  cease to hold 
  voting rights: 
--------------------------------------------------------  --------------------------------------- 
 
                                                         (1) TUI AG is required under 
  13. Additional information:                             the Disclosure and Transparency 
                                                          Rules to disclose its interest 
                                                          in the convertible bonds 
                                                          of TUI Travel PLC on a delta-adjusted 
                                                          basis (see 8(c) above). A 
                                                          change in the delta relating 
                                                          to such bonds may, from time 
                                                          to time, result in a notifiable 
                                                          change in TUI AG's aggregate 
                                                          interest in the voting rights 
                                                          of TUI Travel PLC, however 
                                                          TUI AG's actual holding of 
                                                          convertible bonds (on a nominal 
                                                          basis as well as the number 
                                                          of TUI Travel PLC shares 
                                                          underlying such bonds) has 
                                                          not changed since the date 
                                                          of issue of such bonds on 
                                                          27 April 2010. Such bonds 
                                                          were transferred by Antium 
                                                          Finance Limited to Deutsche 
                                                          Bank AG, London Branch on 
                                                          10 October 2013. In addition, 
                                                          the maturity date of the 
                                                          Contingent Forward Purchase 
                                                          Agreement (pursuant to which 
                                                          such bonds are held by Deutsche 
                                                          Bank) has been extended from 
                                                          28 July 2014 to 27 July 2016. 
 
                                                          (2) 86,967,049 TUI Travel 
                                                          PLC shares in which TUI AG 
                                                          has an indirect interest 
                                                          (as referred to in 8A above) 
                                                          are the same shares as those 
                                                          which it has a right to acquire 
                                                          under the Contingent Forward 
                                                          Purchase Agreement (as referred 
                                                          to in 8B above). Such shares 
                                                          were transferred by Antium 
                                                          Finance Limited to Deutsche 
                                                          Bank AG, London Branch on 
                                                          10 October 2013. In addition, 
                                                          the maturity date of the 
                                                          Contingent Forward Purchase 
                                                          Agreement has been extended 
                                                          from 28 July 2014 to 27 July 
                                                          2016. 
 
                                                          (3) TUI AG's aggregate 56.12% 
                                                          interest referred to in section 
                                                          8 above is equivalent to 
                                                          50.001% of TUI Travel PLC's 
                                                          share capital on a fully 
                                                          diluted basis. 
------------------------------------------------------  ----------------------------------------- 
 14. Contact name:                                       N/A 
------------------------------------------------------  ----------------------------------------- 
 15. Contact telephone number:                           N/A 
------------------------------------------------------  ----------------------------------------- 
 
 

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