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Goldman Sachs AM LP Form 8.3 - [Eaton Corporation]



  Goldman Sachs AM LP - Form 8.3 - [Eaton Corporation]

RNS Number : 2442E
Goldman Sachs Asset Management LP
28 May 2012
 

 

 

 

                                                                     FORM  8.3

  

                            IRISH  TAKEOVER  PANEL

  

  DISCLOSURE  UNDER  RULE  8.3  OF  THE  IRISH  TAKEOVER  PANEL  ACT,  1997,
                     TAKEOVER  RULES,  2007  (AS  AMENDED)

  

 DEALINGS  BY  PERSONS  WITH  INTERESTS  IN  RELEVANT  SECURITIES REPRESENTING
                                 1%  OR  MORE

  

 1.       KEY  INFORMATION
 Name  of  person        (GS) GOLDMAN SACHS ASSET MANAGEMENT, L.P.
 dealing  (Note  1)
 Company  dealt  in      EATON CORPORATION
 Class  of  relevant     US$0.50 common shares
 security  to  which 
 the dealings  being 
 disclosed  relate 
 (Note  2)
 Date  of  dealing       25 May 2012
  

  

 2.         INTERESTS  AND  SHORT  POSITIONS

  

 (a)        Interests  and  short  positions  (following  dealing)  in  the 
 class  of  relevant  security dealt  in  (Note  3)
 Class  of  relevant               Long            Short
 security:
 US$0.50 common shares   Number              (%)   Number              (%)
 (1)  Relevant                 3,393,535*           0                       
 securities                           (1.00)*                (0.00)
 (2)  Derivatives          0                        0                       
 (other  than  options)              (0.00)                  (0.00)
 (3)  Options  and        0                          0                       
 agreements  to                     (0.00)                   (0.00)
 purchase/sell
 Total                          3,393,535*          0                       
                                      (1.00)*                (0.00)
  

 * (GS) GOLDMAN SACHS ASSET MANAGEMENT, L.P. resulting position includes
 changes resulting from non-trade related activity.

  

 (b)        Interests  and  short  positions  in  relevant  securities  of 
 the  company,  other  than  the class  dealt  in  (Note  3)
 Class  of  relevant               Long            Short
 security:
                         Number              (%)   Number              (%)
  

 (1)  Relevant 
 securities
  

 (2)  Derivatives 
 (other  than  options)
  

 (3)  Options  and 
 agreements  to 
 purchase/sell
  

 Total
  

                                                                              

3.       DEALINGS (Note 4)

 

(a)      Purchases and sales

 

Purchase/Sale Number of relevant securities  Price per unit (Note 
                                                      5)
  Purchase                 40                     43.2300 USD
  Purchase                 20                     43.2300 USD
  Purchase                 300                    43.2300 USD
  Purchase                 20                     43.3525 USD
  Purchase                 60                     43.3525 USD
  Purchase                 80                     43.3525 USD
    Sale                   40                     43.2300 USD
    Sale                   737                    43.3600 USD
    Sale                   10                     43.7900 USD
    Sale                   11                     43.7900 USD

 

 

(b)      Derivatives transactions (other than options transactions)

 

  Product  name,        Nature  of        Number  of  relevant    Price  per 
    e.g.  CFD           transaction             securities            unit

                                                                        

                         (Note  6)               (Note 7)           (Note 5)

 

 

(c)      Options transactions in respect of existing relevant securities

 

(i)       Writing,selling, purchasing or varying

 

 

Product  Writing,     Number  of      Exercise Type,     Expiry Option  money
name,    selling,     securities to            e.g.
         purchasing,  which the       price              date   Paid/received
e.g.     varying etc  option relates           American,
call                  (Note 7)                                  Per unit (Note
option                                         European         5)
                                               etc.

 

 

(ii)      Exercising

 

  Product name, e.g. call   Number of securities Exercise price per unit (Note
          option                                              5)

 

(d)     
Other dealings (includingtransactions in respect of new securities) (Note 4) 

 

Nature of transaction (Note 8) Details Price per unit (if applicable) (Note 5)

 

 

 

 4.       OTHER  INFORMATION

  

 Agreements,  arrangements  or  understandings  relating  to  options  or 
 derivatives
 Full  details of any agreement,  arrangement or understanding between  the   
 person  disclosing  and  any   other   person  relating   to   the  voting   
 rights  of  any  relevant  securities  under  any  option referred  to  on   
 this   form  or relating  to  the voting  rights  or future  acquisition  or 
 disposal of  any relevant  securities  to  which  any  derivative  referred 
 to  on  this  form  is  referenced.  If  none,  this should  be  stated.
  

  

  

 Is  a  Supplemental  Form  8  attached?  (Note 
 9)                                        NO
 Date  of  disclosure                       28 May 2012
 Contact  name                              Audrey Malone and Darren Adam
 Telephone  number                          +44(20) 7552 3836 / +44(20) 7051
                                            4224
 If  a  connected  EFM,  name  of           Cooper Industries Plc
 offeree/offeror with  which  connected
 If  a  connected  EFM,  state  nature  of  Advisor to Offeree
 connection  (Note  10)
  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

  

                                                            1  February  2009

 

                     This information is provided by RNS
           The company news service from the London Stock Exchange
 
END
 
 
ISEEADSPADLAEFF -0- May/28/2012 13:35 GMT
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