Morgan Stanley Cap Rule 38.5 Eaton Corp Replacement

  Morgan Stanley Cap - Rule 38.5 Eaton Corp Replacement

RNS Number : 3392S
Morgan Stanley Capital Services LLC
29 November 2012




                                  AMENDMENT

                                                                 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 Capital
                                                    Services 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                                   27th November 2012




2. DEALINGS  (Note  2)                                               



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

                                                              (Note  3)
23,639                            51.8100 USD                 50.9800 USD    
                                                                             
Total  number  of securities      Highest  price  received    Lowest  price
disposed                          (Note  3)                   received       

                                                              (Note  3)
57,176                            51.8500 USD                 50.9700 USD    


                                                                            

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

                                                             
CFD                LONG                  800                 51.0503         
CFD                LONG                  8,200               51.0503         
CFD                LONG                  900                 51.1838         
CFD                LONG                  879                 51.2716         
CFD                LONG                  1,047               51.3142         
CFD                LONG                  10,330              51.3545         
CFD                LONG                  144                 51.3700         
CFD                LONG                  156                 51.3700         
CFD                LONG                  1,100               51.3982         
CFD                LONG                  7,400               51.4028         
CFD                LONG                  162                 51.4456         
CFD                LONG                  103                 51.4486         
CFD                LONG                  39                  51.4926         
CFD                LONG                  203                 51.4926         
CFD                LONG                  200                 51.5400         
CFD                LONG                  400                 51.6450         
CFD                LONG                  600                 51.6700         
CFD                LONG                  300                 51.7033         
CFD                LONG                  34                  51.7300         
CFD                LONG                  6                   51.7300         
CFD                LONG                  300                 51.8100         
CFD                SHORT                 20                  51.0700         
CFD                SHORT                 600                 51.0783         
CFD                SHORT                 2,300               51.0951         
CFD                SHORT                 400                 51.1100         
CFD                SHORT                 1,678               51.2158         
CFD                SHORT                 7,300               51.2556         
CFD                SHORT                 300                 51.2600         
CFD                SHORT                 1,584               51.2676         
CFD                SHORT                 100                 51.2700         
CFD                SHORT                 100                 51.2800         
CFD                SHORT                 1,000               51.3210         
CFD                SHORT                 600                 51.3397         
CFD                SHORT                 400                 51.3850         
CFD                SHORT                 175                 51.4354         
CFD                SHORT                 30                  51.4354         
CFD                SHORT                 425                 51.4379         
CFD                SHORT                 70                  51.4379         
CFD                SHORT                 34                  51.4584         
CFD                SHORT                 6                   51.4584         
CFD                SHORT                 3,950               51.4584         
CFD                SHORT                 739                 51.4584         
CFD                SHORT                 1,600               51.4646         

(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 option          European         per unit (Note
option   varying etc relates (Note 5)          etc              3)
N/A      N/A         N/A              N/A      N/A       N/A    N/A



(ii) Exercising



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

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                         

                                             29th November 2012
Contact Name                                 Hannah Caplin


Telephone Number                             0207 677 9825

                                             
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


ISEBLBJTMBJTBFT -0- Nov/29/2012 13:37 GMT
 
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