Goldman SachsFinMkts Form 8.1 - [Eaton Corporation]

  Goldman SachsFinMkts - Form 8.1 - [Eaton Corporation]

RNS Number : 7853R
Goldman Sachs Financial Markets
22 November 2012






                                      

                               DisclosureForms



                                                          FORM  8.1(a)&(b)(i)

 

                            IRISH  TAKEOVER  PANEL

 

   DISCLOSURE  UNDER  RULE  8.1(a)  AND  (b)(i)  OF  THE  IRISH  TAKEOVER 
           PANEL ACT,  1997,  TAKEOVER  RULES,  2007  (AS  AMENDED)

 

 DEALINGS  BY  OFFERORS,  OFFEREES  OR  THEIR  ASSOCIATES  FOR THEMSELVES  OR
                         FOR  DISCRETIONARY  CLIENTS

 

 1. KEY  INFORMATION
 Name  of  person       (GS) GOLDMAN SACHS FINANCIAL MARKETS, 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      21 November 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                  108,471           107,004 (0.03)
 securities               (0.03)
 (2)  Derivatives        3,660     0
 (other  than  options)          (0.00)                     (0.00)
 
                                0                     0
 (3)  Options  and       (0.00)    (0.00)
 agreements  to 
 purchase/sell
 Total                   112,131            107,004 (0.03)
                        (0.03)
 (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
 

                                                            1  February  2009



3. DEALINGS(Note4)



(a) Purchasesandsales



Purchase/Sale                  Number of relevant         Price per unit (Note
                               securities                          5)
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5500 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5550 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5600 USD
           Purchase                       100                 50.5650 USD
           Purchase                       100                 50.5650 USD
           Purchase                       118                 50.5700 USD
Purchase (Loan Partial Return)            378                     n/a





(b) Derivativestransactions(otherthanoptionstransactions)



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

                                                                     

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





(c) Optionstransactionsinrespectofexistingrelevantsecurities



(i) Writing,selling,purchasingorvarying





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)
Otherdealings(includingtransactionsinrespectofnewsecurities)(Note4)



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





4. OTHERINFORMATION



Agreements,arrangements or understandings relating to options orderivatives







Fulldetails    of    any    agreement,    arrangement    or     understanding 
betweenthepersondisclosing
andanyotherpersonrelatingtothevotingrightsofanyrelevantsecuritiesunderanyoption
referredtoonthisform  or  relating   to  the  voting   rights  or   future 
acquisition                 or                 disposal                 ofany 
relevantsecuritiestowhichanyderivativereferredtoonthisformisreferenced.Ifnone,this
shouldbestated.















IsaSupplementalForm8attached?(Note9) NO





Date  of  disclosure                          22 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
associated
Specify  category  and  nature  of associate  Advisor to Offeree
status  (Note  10)



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

END


ISEBTBMTMBITBAT -0- Nov/22/2012 10:46 GMT
 
Press spacebar to pause and continue. Press esc to stop.