Holding(s) in Company
26 Outubro 2010 - 7:46AM
UK Regulatory
TIDMCC.
RNS Number : 0086V
Clinton Cards PLC
26 October 2010
+-----------------------------------+
| For filings with the FSA include |
| the annex |
| For filings with issuer exclude |
| the annex |
+-----------------------------------+
+-------------------------------------------------------------------+
| TR-1: Notifications of Major Interests in Shares |
+-------------------------------------------------------------------+
+----------------------------------------+-------------------------+
| 1. Identity of the issuer or the | |
| underlying issuer of existing shares | Clinton Cards Plc |
| to which voting rights are attached: | |
+----------------------------------------+-------------------------+
+----------------------------------------------------------+--------+
| |
| 2. Reason for notification (yes/no) |
+-------------------------------------------------------------------+
| | |
| An acquisition or disposal of voting rights | YES |
+----------------------------------------------------------+--------+
| | |
| An acquisition or disposal of financial instruments | No |
| which may result in the acquisition of shares already | |
| issued to which voting rights are attached | |
+----------------------------------------------------------+--------+
| | No |
| An event changing the breakdown of voting rights | |
+----------------------------------------------------------+--------+
| | No |
| Other (please specify): | |
+----------------------------------------------------------+--------+
+----------------------------------+-------------------------------+
| 3. Full name of person(s) | |
| subject to notification | Bestinver Hedge Value Fund, |
| obligation: | FI |
+----------------------------------+-------------------------------+
| | |
| 4. Full name of shareholder(s) | |
| (if different from 3): | |
+----------------------------------+-------------------------------+
| | |
| 5. Date of transaction (and date | 22 October 2010 |
| on which the threshold is | |
| crossed or reached if | |
| different): | |
+----------------------------------+-------------------------------+
| | |
| 6. Date on which issuer | 26 October 2010 |
| notified: | |
+----------------------------------+-------------------------------+
| | |
| 7. Threshold(s) that is/are | 6% and 7% |
| crossed or reached: | |
+----------------------------------+-------------------------------+
+--------------+------------+------------+------------+----------+------------+----------+---------+----------+
| 8: Notified Details |
+-------------------------------------------------------------------------------------------------------------+
| A: Voting rights attached to shares |
| |
+-------------------------------------------------------------------------------------------------------------+
| Class/type | Situation | Resulting situation after the triggering |
| of shares | previous to the | transaction |
| If | triggering | |
| possible | transaction | |
| use ISIN | | |
| code | | |
+ +-------------------------+--------------------------------------------------------------------+
| | Number of | Number | Number of shares | Number of voting | Percentage |
| | shares | of | | rights | of voting |
| | | voting | | | rights |
| | | rights | | | |
+ + + + +-----------------------+--------------------+
| | | | | | | | |
| | | | | Direct | Indirect | Direct | Indirect |
+--------------+------------+------------+-----------------------+------------+----------+---------+----------+
| GB0002036720 | 10,926,714 | 10,926,714 |15,002,786 | 15,002,786 | | 7.25% | |
| | | | | | | | |
+--------------+------------+------------+------------+-----------------------+----------+---------+----------+
| | | | | | | | | |
+--------------+------------+------------+------------+----------+------------+----------+---------+----------+
+------------+------------+-------------+----------------------+------------+
| B: Financial Instruments |
| |
+---------------------------------------------------------------------------+
| Resulting situation after the triggering transaction |
| |
+---------------------------------------------------------------------------+
| Type of | Expiration | Exercise/ | No. of | Percentage |
| financial | date | conversion | voting | of voting |
| instrument | | period/date | rights | rights |
| | | | that may | |
| | | | be | |
| | | | acquired | |
| | | | (if the | |
| | | | instrument | |
| | | | exercised/converted) | |
+------------+------------+-------------+----------------------+------------+
| | | | | |
| | | | | |
+------------+------------+-------------+----------------------+------------+
+---------------------------------+---------------------------------+
| Total (A+B) |
| |
+-------------------------------------------------------------------+
| Number of voting rights | Percentage of voting rights |
+---------------------------------+---------------------------------+
| 15,002,786 | 7.25% |
+---------------------------------+---------------------------------+
+-------------------------------------------------------------------+
| 9. Chain of controlled undertakings through which the voting |
| rights and /or the financial instruments are effectively held, if |
| applicable: |
+-------------------------------------------------------------------+
| |
+-------------------------------------------------------------------+
+---------------------------------+---------------------------------+
| Proxy Voting: |
| |
+-------------------------------------------------------------------+
| 10. Name of proxy holder: | |
| | |
+---------------------------------+---------------------------------+
| 11. Number of voting rights | |
| proxy holder will cease to | |
| hold: | |
| | |
+---------------------------------+---------------------------------+
| 12. Date on which proxy holder | |
| will cease to hold voting | |
| rights: | |
| | |
+---------------------------------+---------------------------------+
+---------------------------------+---------------------------------+
| 13. Additional information: | Bestinver Hedge Value Fund FI |
| | is an investment fund managed |
| | by Bestinver Gestion S.A., |
| | SGIIC. The direct holdings of |
| | Bestinver Hedge Value Fund FI |
| | are aggregated in the |
| | notifications of the indirect |
| | holdings of Bestinver Gestion |
| | S.A., SGIIC |
+---------------------------------+---------------------------------+
| 14 Contact name: | Paul Salador |
| | |
+---------------------------------+---------------------------------+
| 15. Contact telephone name: | 020 8502 8218 |
| | |
+---------------------------------+---------------------------------+
For notes on how to complete form TR-1 please see the FSA website.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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