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Form 8.3 - UK Commercial Property REIT

4 Mar 2024 13:40

Form 8.3 - UK Commercial Property REIT

8.3

PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR MORERule 8.3 of the Takeover Code (the “Code”)

1. KEY INFORMATION

(a) Full name of discloser:Rathbones Group Plc
(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 to whose relevant securities this form relates: Use a separate form for each offeror/offereeUK Commercial Property REIT
(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: For an opening position disclosure, state the latest practicable date prior to the disclosure01/03/2024
(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 - Tritax Big Box REIT 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:25p Ord
 InterestsShort positions
 Number%Number%
(1) Relevant securities owned and/or controlled:175,999,60413.54%  
(2) Cash-settled derivatives:    
(3) Stock-settled derivatives (including options) and agreements to purchase/sell:    
TOTAL:175,999,60413.54%  

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 securityPurchase/saleNumber of securitiesPrice per unit
25p Ordinary sharesSale12,00064.5424p
25p Ordinary sharesSale8,00064.72p
    
    

(b) Cash-settled derivative transactions

Class of relevant securityProduct descriptione.g. CFDNature of dealinge.g. opening/closing a long/short position, increasing/reducing a long/short positionNumber of reference securitiesPrice per unit
     

I Stock-settled derivative transactions (including options)

(e) Writing, selling, purchasing or varying

Class of relevant securityProduct description e.g. call optionWriting, purchasing, selling, varying etc.Number of securities to which option relatesExercise price per unitTypee.g. American, European etc.Expiry dateOption money paid/ received per unit
        

(ii) Exercise

Class of relevant securityProduct descriptione.g. call optionExercising/ exercised againstNumber of securitiesExercise price per unit
     

(d) Other dealings (including subscribing for new securities)

Class of relevant securityNature of dealinge.g. subscription, conversionDetailsPrice per unit (if applicable)
25p ordinaryInternal transfer from Discretionary to Execution-only14,000 
25p ordinaryInternal transfer from Discretionary to Execution-only14,000 

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?No

Date of disclosure:04/03/2024
Contact name:Michael Dowle - Compliance Department
Telephone number:020 7319 5671

Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service.

The Panel’s Market Surveillance Unit is available for consultation in relation to the Code’s disclosure requirements on +44 (0)20 7638 0129.

The Code can be viewed on the Panel’s website at.

Date   Source Headline
31st Oct 20197:00 amPRNNet Asset Value at 30 September 2019
23rd Sep 20197:00 amRNSCorrection: Half Year Results
19th Sep 20197:00 amPRNHalf Year Results
1st Aug 20197:00 amPRNNet Asset Value at 30 June 2019
1st Aug 20197:00 amPRNDividend Declaration
26th Jul 201910:59 amPRNHolding(s) in Company
25th Jun 20199:00 amRNSNotice of Results
17th Jun 20194:28 pmPRNResult of AGM
6th Jun 20199:00 amPRNAGM Voting
10th May 20195:07 pmPRNNotice of AGM
2nd May 20197:00 amPRNDividend Declaration
2nd May 20197:00 amPRNNet Asset Value at 31 March 2019
30th Apr 20193:56 pmPRNHolding(s) in Company
26th Apr 20197:00 amPRNFinal Results
18th Apr 20191:06 pmPRNResults of EGM
2nd Apr 201912:00 pmRNSKepler Trust Intelligence: New Research
29th Mar 201910:55 amPRNCorrection: Update on REIT Conversion
29th Mar 201910:37 amPRNCorrection: Update on REIT Conversion
29th Mar 201910:03 amPRNUpdate on REIT Conversion
29th Mar 20199:44 amPRNNotice of EGM
1st Mar 20197:00 amRNSUKCM fully prelets London distribution centre
21st Feb 20197:00 amPRNDebt Refinancing at low rates and £50 million extension
14th Feb 20197:00 amPRNNet Asset Value(s)
7th Feb 20197:00 amPRNDividend
1st Feb 201912:19 pmPRNDirector Declaration
24th Jan 20199:00 amRNSNotice of Results
24th Dec 20187:00 amRNSAcquisition of distribution warehouse portfolio
11th Dec 20189:53 amPRNChange of Alternative Investment Fund Manager
6th Dec 20187:05 amPRNShareholder Update
6th Dec 20187:00 amPRNHolding(s) in Company
6th Dec 20187:00 amPRNHolding(s) in Company
6th Dec 20187:00 amPRNHolding(s) in Company
6th Dec 20187:00 amPRNHolding(s) in Company
6th Dec 20187:00 amPRNHolding(s) in Company
3rd Dec 20184:20 pmPRNDirector/PDMR Shareholding
2nd Nov 20187:00 amPRNNet Asset Value(s)
2nd Nov 20187:00 amPRNDividend
24th Oct 20187:00 amRNSSale of retail high street asset for £23.5 million
8th Oct 20187:00 amRNSSale of London office asset for £73.2 million
20th Sep 20187:00 amPRNHalf Year Results
19th Sep 20187:00 amRNSAcquisition of M8 Industrial Estate for £24.6m
6th Aug 20184:33 pmPRNDirector/PDMR Shareholding
6th Aug 20184:30 pmPRNDirector/PDMR Shareholding
2nd Aug 20187:00 amPRNNet Asset Value(s)
2nd Aug 20187:00 amPRNDividend
11th Jul 201810:00 amRNSNotice of Results
5th Jul 20187:00 amRNSUKCP REIT acquires c.£51 million Reading office
2nd Jul 20188:00 amPRNREIT Conversion
27th Jun 20187:00 amRNSUKCPT signs new 159,000 sq ft long lease
20th Jun 201811:20 amPRNResult of AGM

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