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Goldman Sachs (EPT) Form 38.5



  Goldman Sachs (EPT) - Form 38.5

RNS Number : 2260R
GoldmanSachs International
15 November 2012
 



 

 

                                                                FORM  38.5

   

                           IRISH  TAKEOVER  PANEL

   

   DISCLOSURE  UNDER  RULE  38.5  OF  THE  IRISH  TAKEOVER  PANEL  ACT,       
                1997, TAKEOVER  RULES,  2007  (AS  AMENDED)

   

               DEALINGS  BY  CONNECTED  EXEMPT  MARKET-MAKERS

   

  1.       KEY  INFORMATION
  Name  of  exempt  market-maker                     (GS) GOLDMAN SACHS
                                                    INTERNATIONAL
  Company  dealt  in                                 EATON CORPORATION
  Class  of  relevant  security  to  which  the      US$0.50 common shares
  dealings  being  disclosed  relate  (Note  1)
  Date  of  dealing                                  14 November 2012
   

   

  2.         DEALINGS  (Note  2)                                              

   

  (a)      Purchases  and  sales
  Total  number  of  relevant     Highest  price  paid     Lowest  price 
  securities  acquired            (Note  3)                paid               

                                                           (Note  3)
                15                      49.5000 USD          49.5000 USD      
 
                                                                              
 
  Total  number  of securities    Highest  price  received Lowest  price 
  disposed                        (Note  3)                received           

                                                           (Note  3)
                15                      49.5000 USD          49.5000 USD      
   

                                                                              

  (b)      Derivatives  transactions  (other  than  options  transactions)
  Product  name,    Nature  of  transaction  Number  of          Price 
  e.g.  CFD                                  relevant            per  unit
                                             securities
                                                                              
                    (Note  4)                 
                                                                 (Note  3)
                                             (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           e.g.
                                      price              date   Paid/received
e.g.                                           American,
call                                                            Per unit (Note
option                                         European         3)
                                               etc.

 

 

(ii)         Exercising

                     

Product  name,   Number  of           Exercise  price
                 securities           per
e.g.  call 
option                                unit  (Note  3)

 

 

3.          OTHER INFORMATION

 

Agreements, arrangements or understandings relatingto 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.

 

 

Date of disclosure                          15 November 2012
Contact name                                Audrey Malone and Darren Adam
Telephone number                            +44(20) 7552 3836 / +44(20) 7051
                                            4224
Name of offeree/offeror with which          Cooper Industries Plc
connected
Nature of connection (Note 6)               Advisor to Offeree

 

 

 

 

                                                                              

                                                                              

                                                               1 February 2009

                     This information is provided by RNS
           The company news service from the London Stock Exchange
 
END
 
 
ISEGGGPCGUPPGGA -0- Nov/15/2012 11:43 GMT
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