Morgan Stanley&CoLLC Rule 38.5 - Eaton Corp

  Morgan Stanley&CoLLC - Rule 38.5 - Eaton Corp

RNS Number : 4376R
Morgan Stanley & Co. LLC
19 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
                                                     Morgan Stanley & Co.
                                                      LLC
Name  of  exempt  market-maker
                                                      
Company  dealt  in                                    Eaton Corporation

                                                      
Class  of  relevant  security  to  which  the         Ordinary USD
dealings  being  disclosed  relate  (Note  1)
Date  of  dealing                                     16th 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)
484,760                          49.1400 USD                47.9173 USD
Total  number  of securities     Highest  price  received   Lowest  price 
disposed                         (Note  3)                  received

                                                            (Note  3)
491,739                          49.1400 USD                48.2600 USD




(b) Derivatives  transactions  (other  than  options  transactions)
Product  name,     Nature  of  transaction  Number  of  relevant  Price  per
e.g.  CFD                                   securities            unit (USD)
                   
                                                                 
                   (Note  4)
                                            (Note  5)             (Note  3)
N/A                N/A                      N/A                   N/A









(c) Optionstransactionsinrespectofexistingrelevantsecurities



i) Writing,selling,purchasingorvarying



Product  Writing,    Number of     Exercise Type, e.g Expiry     Option money
name, eg selling,    securities to Price    American, Date       paid/received
call     purchasing, which the              European             per unit
option   varying etc option                 etc                  (USD) (Note
                     relates (Note                               3)
                     5)
CALL     PURCHASE    1,100         47.5000  A         19/01/2013        2.7000
CALL     PURCHASE    200           47.5000  A         19/01/2013        2.8600
CALL     SALE        300           47.5000  A         19/01/2013        2.6500
CALL     PURCHASE    100           52.5000  A         19/01/2013        0.7400
PUT      SALE        1,100         50.0000  A         19/01/2013        3.0000
CALL     PURCHASE    100           55.0000  A         18/01/2014        2.8500
CALL     SALE        500           46.0000  A         17/11/2012        3.1000
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    1,100         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,400         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    1,500         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    4,500         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    4,000         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    1,700         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    1,700         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    1,100         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    100           49.0000  A         17/11/2012        0.0500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.1500
CALL     PURCHASE    2,200         49.0000  A         17/11/2012        0.1500
CALL     PURCHASE    500           49.0000  A         17/11/2012        0.2000
CALL     SALE        400           49.0000  A         17/11/2012        0.1500
PUT      SALE        300           42.0000  A         17/11/2012        0.0500
CALL     PURCHASE    100           49.0000  A         22/12/2012        1.3000
CALL     SALE        500           50.0000  A         22/12/2012        0.9400
PUT      PURCHASE    100           48.0000  A         22/12/2012        1.0500





(ii) Exercising



Product name,   Number of Securities Exercise price per unit (Note 3) (USD)

e.g call option
N/A             N/A                  N/A



3. 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.




















Date  of  disclosure                         19th November 2012
Contact Name                                 Samantha Withers


Telephone Number                             0207 425 7514

                                             
Name of offeree/offeror with which connected Eaton Corporation
Nature of connection (Note 6)                Advisor

                                             



                     This information is provided by RNS
           The company news service from the London Stock Exchange

END


ISEBKCDQKBDDADD -0- Nov/19/2012 10:47 GMT
 
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