Threadneedle AM Hdgs Form 8.3 - Cooper Industries PLC

  Threadneedle AM Hdgs - Form 8.3 - Cooper Industries PLC

RNS Number : 3352S
Threadneedle Asset Mangmt Hldgs Ltd
29 November 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  dealing  (Note   Ameriprise Financial Inc, ultimate
    1)                                 parent company of Threadneedle
                                      Asset Management Holdings Ltd and  
                                       affiliated companies

                                       
   Company  dealt  in                 COOPER INDUSTRIES PLC              
    Class  of  relevant  security  to  COM USD 0.01
   which  the dealings  being                                            
    disclosed  relate  (Note  2)
    Date  of  dealing                  28/11/2012

                                                                        

                                       
    

    2. INTERESTS  AND  SHORT  POSITIONS
                                                                         
    

    (a) Interests  and  short  positions  (following  dealing)  in 
    the  class  of  relevant  security dealt  in  (Note  3)
                                      Long              Short            
                                      Number Number(%)        
                                       (%)
   (1)  Relevant  securities          2,371,094                          
                                       (1.466%)
   (2)  Derivatives  (other  than                                        
    options)
   (3)  Options  and  agreements  to                                     
    purchase/sell
   Total                              2,371,094                          
                                       (1.466%)
   (b) Interests  and  short  positions  in  relevant  securities  
    of  the  company,  other  than  the class  dealt  in  (Note  3)
   Class  of  relevant  security:     Long              Short            
                                      Number(%)         Number(%)        
    
                                                                         
    (1)  Relevant  securities
    
                                                                         
    (2)  Derivatives  (other  than 
    options)
    
                                                                         
    (3)  Options  and  agreements  to 
    purchase/sell
    
                                                                         
    Total
    

    

                                                                        

    

                                                        1  February  2009
     3. DEALINGS  (Note  4)

     

     (a) Purchases  and  sales
                                                       

     Purchase/sale         Number  of  relevant          Price  per  unit  (Note 
                           securities                    5)
     Purchase              20                            USD 79.39

                                                         
     

     

     (b) Derivatives  transactions  (other  than  options  transactions)
     Product                                                    
     name, e.g. 
     CFD           Nature  of    Number  of  relevant  securities Price  per  unit
                   transaction
                                                                 
                   
                                 (Note  7)                        (Note  5)
                   (Note  6)
     

     

     (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, e.g. selling,      securities  price     e.g.      date   paid/received
     call       purchasing,   to  which             American,        per  unit 
     option     varying  etc. the  option           European         (Note  5)
                              relates               etc.
                              (Note  7)
     

     

     

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

     

     

     (d) Other  dealings  (including  transactions  in  respect  of  new 
     securities)  (Note  4)
     Nature  of        Details                  Price  per  unit
     transaction
                                                (if  applicable)  (Note  5)
     (Note  8)
     

                                                                 1  February  2009
   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             29/11/2012
                                                                              
                                    
  Contact  name                    Stacey Dryburgh                            
  Telephone  number                44 (0) 1793 363751                         
   If  a  connected  EFM,  name  of
  offeree/offeror with  which                                                 
   connected
   If  a  connected  EFM,  state 
  nature  of connection  (Note                                                
   10)


1February2009

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

END


ISEBKCDQBBDDFDB -0- Nov/29/2012 12:50 GMT