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SYMBOL
LAST
ASK
BID
HIGH
LOW
NET CHG.
%CHG.
SPREAD
SPX
S&P 500 Index
6939.02
6939.02
6939.02
6964.08
6893.47
-29.99
-0.43%
--
DJI
Dow Jones Industrial Average
48892.46
48892.46
48892.46
49047.68
48459.88
-179.09
-0.36%
--
IXIC
NASDAQ Composite Index
23461.81
23461.81
23461.81
23662.25
23351.55
-223.30
-0.94%
--
USDX
US Dollar Index
96.990
97.070
96.990
96.990
96.150
+1.020
+ 1.06%
--
EURUSD
Euro / US Dollar
1.18491
1.18514
1.18491
1.19743
1.18491
-0.01211
-1.01%
--
GBPUSD
Pound Sterling / US Dollar
1.36835
1.36880
1.36835
1.38142
1.36788
-0.01258
-0.91%
--
XAUUSD
Gold / US Dollar
4894.49
4894.49
4894.49
5450.83
4682.14
-481.82
-8.96%
--
WTI
Light Sweet Crude Oil
65.427
65.456
65.427
65.832
63.409
+0.175
+ 0.27%
--

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Four Killed In Gas Explosion At Residential Building In Iran's Ahvaz - Iran's State-Run Tehran Times

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IAEA: Chornobyl Site Briefly Lost All Off-Site Power. Ukraine Working To Stabilize Grid And Restore Output, No Direct Impact On Nuclear Safety Expected

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IAEA: Ukrainian Npps Temporarily Reduced Output This Morning After Technological Grid Issue Affected Power Lines

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Tigrayan Official And Humanitarian Worker: One Person Killed, Another Injured In Drone Strikes In Ethiopia's Tigray Region

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Explosion In Iran's Southern Port Of Bandar Abbas , Iranian Media Denies Report Commander Of Revolutionary Guards Targeted

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[Epstein Documents Continue To Be Released, Involving Multiple US Political And Business Figures] The US Department Of Justice Announced On January 30 That It Would Release The Remaining Documents, Totaling Over 3 Million Pages, Related To The Case Of The Late Billionaire Jeffrey Epstein. According To US Media Reports, The Documents Reveal That Numerous Prominent US Political And Business Figures Knew And Associated With The Businessman, Who Was Suspected Of Sex Crimes And Died Mysteriously In Prison. These Include Commerce Secretary Howard Lutnick, Entrepreneur Elon Musk, And Stephen Bannon, An Advisor During Trump's First Presidential Term

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Health Ministry: Israeli Strikes Kill 12 In Gaza

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Moldova's Government: Problems In Ukraine's Power Grid Led To Moldova's Energy System Emergency Shutdown

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Defence Ministry: Russian Forces Capture Two Villages In Eastern Ukraine

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[Bitcoin Falls Below $83,000, 24-Hour Gain Narrows To 0.53%] January 31, According To Htx Market Data, Bitcoin Fell Below $83,000, With A 24-Hour Growth Narrowing To 0.53%

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Kazakhstan Says Oil Output At Tengiz Oilfield Resumed

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[Canada Plans To Establish Defense Bank With Multiple Countries] Canadian Finance Minister François-Philippe Champagne Said On January 30 That Canada Will Work Closely With International Partners In The Coming Months To Establish A Defense Bank To Raise Funds For Maintaining Collective Security. Champagne Posted On Social Media Platform X That Day That More Than 10 Countries, Under Canada's Auspices, Discussed The Establishment Of A "Defense, Security And Reconstruction Bank." He Did Not Specify Which Countries Were Involved In The Discussions. According To Reuters, Supporters Hope The Proposed Defense Bank Will Be A Global Nation-support Institution With A AAA Credit Rating, Raising $135 Billion For Defense Projects In Europe And NATO Member States

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Kevin Warsh On The Fed's Mistakes And The Consequences

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[A Silver Long Whale With A $29M Long Position Gets Fully Liquidated, Losing Over $4M] January 31, According To Lookintochain Monitoring, With Today'S Spot Silver Price Falling Below $75 Per Ounce, A Single-Day Plunge Of Over 35% Set The Record For The Largest Single-Day Drop In History. The Whale "0X94D3" Who Was Long On Silver Saw Their $29 Million Long Position Liquidated, Resulting In A Loss Of Over $4 Million

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Iran President Pezeshkian Says Trump, Netanyahu And Europe Stirred Tensions In Recent Protests, Provoking People

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Malaysia's Jan Palm Oil Exports Rise 17.9%

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NASA Announced On January 30th That It Will Postpone A Key Rehearsal For The Artemis 2 Manned Lunar Orbit Mission Due To Extreme Cold Weather. The Mission's Execution Date Has Been Adjusted To No Earlier Than February 8th. The Rocket And Spacecraft For This Mission Arrived At The Kennedy Space Center Launch Pad In Florida In Mid-January. NASA Originally Planned To Conduct A Comprehensive Propellant Loading Rehearsal At The End Of January, Simulating Key Stages From Propellant Loading To The Launch Countdown—the Complete Launch Process Excluding Ignition And Liftoff

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[Starmer Responds To Trump's Remarks On UK-China Cooperation: Ignoring China Would Be "Unwise"] According To The UK's Daily Telegraph, British Prime Minister Keir Starmer Responded To US President Trump's Remarks On UK-China Cooperation In Shanghai On The 30th, Stating That Ignoring China Would Be "unwise." "It Would Be Unwise To Simply Say 'we Should Ignore It.' You Know, French President Macron Has Already Visited (China) And Had Exchanges, And German Chancellor Merz Is Also Coming To Have Exchanges," Starmer Said. "If Britain Becomes The Only Country Refusing To Engage (with China), It Would Not Be In Our National Interest."

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[0Xsun'S Associated Address Deposited 2 Million U Into Hyperliquid For A 4X Long Position On Silver] January 31, According To Onchain Lens Monitoring, The 0Xsun Associated Address Deposited 2 Million Usdc Into Hyperliquid At 9:00 A.M. Beijing Time Today And Opened A Long Position For Silver With 4X Leverage On Trade.Xyz

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[Fear Of Losing To Starlink? French Government Blocks Eutelsat Sale Of Antenna Assets] French Minister Of Economy, Finance, Industry, Energy And Digital Sovereignty, Roland Lescuille, Disclosed To The Media On The 30th That The French Government Recently Blocked Eutelsat's Sale Of Ground Antenna Assets To A Swedish Buyer. He Said The Decision Was Based On "national Security" Concerns, Fearing That The Transaction Would Damage Eutelsat's Competitiveness And Allow Its Rival, SpaceX's Starlink System, To Dominate The European Market

TIME
ACT
FCST
PREV
U.K. M4 Money Supply (SA) (Dec)

A:--

F: --

P: --
U.K. M4 Money Supply YoY (Dec)

A:--

F: --

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Italy Unemployment Rate (SA) (Dec)

A:--

F: --

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Euro Zone Unemployment Rate (Dec)

A:--

F: --

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Euro Zone GDP Prelim QoQ (SA) (Q4)

A:--

F: --

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Euro Zone GDP Prelim YoY (SA) (Q4)

A:--

F: --

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Italy PPI YoY (Dec)

A:--

F: --

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Mexico GDP Prelim YoY (Q4)

A:--

F: --

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Brazil Unemployment Rate (Dec)

A:--

F: --

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South Africa Trade Balance (Dec)

A:--

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India Deposit Gowth YoY

A:--

F: --

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Germany CPI Prelim YoY (Jan)

A:--

F: --

P: --

Germany CPI Prelim MoM (Jan)

A:--

F: --

P: --

Germany HICP Prelim YoY (Jan)

A:--

F: --

P: --

Germany HICP Prelim MoM (Jan)

A:--

F: --

P: --

U.S. Core PPI YoY (Dec)

A:--

F: --

P: --
U.S. Core PPI MoM (SA) (Dec)

A:--

F: --

P: --

U.S. PPI YoY (Dec)

A:--

F: --

P: --

U.S. PPI MoM (SA) (Dec)

A:--

F: --

P: --

Canada GDP MoM (SA) (Nov)

A:--

F: --

P: --

Canada GDP YoY (Nov)

A:--

F: --

P: --

U.S. PPI MoM Final (Excl. Food, Energy and Trade) (SA) (Dec)

A:--

F: --

P: --

U.S. PPI YoY (Excl. Food, Energy & Trade) (Dec)

A:--

F: --

P: --

U.S. Chicago PMI (Jan)

A:--

F: --

P: --
Canada Federal Government Budget Balance (Nov)

A:--

F: --

P: --

U.S. Weekly Total Oil Rig Count

A:--

F: --

P: --

U.S. Weekly Total Rig Count

A:--

F: --

P: --

China, Mainland NBS Manufacturing PMI (Jan)

A:--

F: --

P: --

China, Mainland NBS Non-manufacturing PMI (Jan)

A:--

F: --

P: --

China, Mainland Composite PMI (Jan)

A:--

F: --

P: --

South Korea Trade Balance Prelim (Jan)

--

F: --

P: --
Japan Manufacturing PMI Final (Jan)

--

F: --

P: --

South Korea IHS Markit Manufacturing PMI (SA) (Jan)

--

F: --

P: --

Indonesia IHS Markit Manufacturing PMI (Jan)

--

F: --

P: --

China, Mainland Caixin Manufacturing PMI (SA) (Jan)

--

F: --

P: --

Indonesia Trade Balance (Dec)

--

F: --

P: --

Indonesia Inflation Rate YoY (Jan)

--

F: --

P: --

Indonesia Core Inflation YoY (Jan)

--

F: --

P: --

India HSBC Manufacturing PMI Final (Jan)

--

F: --

P: --

Australia Commodity Price YoY (Jan)

--

F: --

P: --

Russia IHS Markit Manufacturing PMI (Jan)

--

F: --

P: --

Turkey Manufacturing PMI (Jan)

--

F: --

P: --

U.K. Nationwide House Price Index MoM (Jan)

--

F: --

P: --

U.K. Nationwide House Price Index YoY (Jan)

--

F: --

P: --

Germany Actual Retail Sales MoM (Dec)

--

F: --

P: --
Italy Manufacturing PMI (SA) (Jan)

--

F: --

P: --

South Africa Manufacturing PMI (Jan)

--

F: --

P: --

Euro Zone Manufacturing PMI Final (Jan)

--

F: --

P: --

U.K. Manufacturing PMI Final (Jan)

--

F: --

P: --

Brazil IHS Markit Manufacturing PMI (Jan)

--

F: --

P: --

Canada National Economic Confidence Index

--

F: --

P: --

Canada Manufacturing PMI (SA) (Jan)

--

F: --

P: --

U.S. IHS Markit Manufacturing PMI Final (Jan)

--

F: --

P: --

U.S. ISM Output Index (Jan)

--

F: --

P: --

U.S. ISM Inventories Index (Jan)

--

F: --

P: --

U.S. ISM Manufacturing Employment Index (Jan)

--

F: --

P: --

U.S. ISM Manufacturing New Orders Index (Jan)

--

F: --

P: --

U.S. ISM Manufacturing PMI (Jan)

--

F: --

P: --

South Korea CPI YoY (Jan)

--

F: --

P: --

Japan Monetary Base YoY (SA) (Jan)

--

F: --

P: --

Q&A with Experts
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    EuroTrader flag
    EuroTrader
    @3479282one off the reasons is due to the fatal shooting of two US citizens in Minneapolis by federal agents
    Georgij Gr flag
    EuroTrader
    @EuroTrader I do MMA and the gym
    EuroTrader flag
    Georgij Gr
    @Georgij Grthis is great actuall mate are you kind of like a gym instructor
    Georgij Gr flag
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    @EuroTrader yes bro
    3503359 flag
    What are the bases for the claim that gold prices are falling?
    EuroTrader flag
    Georgij Gr
    @Georgij Grwoahh this is great mate maybe we could meet up at fastbulls next global summit
    EuroTrader flag
    3503359
    What are the bases for the claim that gold prices are falling?
    @3503359 the drop on gold has been long anticipated in the market place due to the premium profile the price engine has been building
    Georgij Gr flag
    EuroTrader
    @EuroTrader What is this, my friend?
    3503359 flag
    In the long run, most of the current analyses of the global situation seem to be bullish.
    3503538 flag
    Hello everyone
    3503538 flag
    I understand.
    3503538 flag
    I'm a kid.
    2794802 flag
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    I'm a kid.
    @Visitor3503538 ok
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    ali flag
    Fall pattern making in btc
    3487443 flag
    Hello, Tai
    3487443 flag
    3503538
    I'm a kid.
    In your opinion, where will the gold price drop this week?
    3487443 flag
    3503538
    You see me, Hieu?
    I see, I see, little one.
    3487443 flag
    The government is partially shut down.
    3487443 flag
    3503538
    I'm a kid.
    Hi little one
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          REG - Barclays PLC Beazley PLC - Form 8.5 EPT/Non RI BEAZLEY PLC Replacement

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1674R Barclays PLC 30 January 2026  

          FORM 8.5 (EPT/NON-RI) Amendment - this form replaces RNS number 1967Q published at 11:57 on 23/01/2026, changes made to section 2A,3B

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY AN

          EXEMPT PRINCIPAL TRADER WITHOUT RECOGNISED INTERMEDIARY ("RI") STATUS

          (OR WHERE RI STATUS IS NOT APPLICABLE)

          Rule 8.5 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Name of exempt principal trader:

          BARCLAYS CAPITAL SECURITIES LTD

          (b)

          Name of offeror/offeree in relation to whose

          BEAZLEY PLC

          relevant securities this form relates:

          (c)

          Name of the party to the offer with which exempt

          BEAZLEY PLC

          principal trader is connected

          (d)

          Date position held/dealing undertaken:

          22 Jan 2026

          (e)

          In addition to the company in 1(b) above, is the exempt principal

          NO

          trader making disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE EXEMPT PRINCIPAL TRADER

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing (if any)

          Class of relevant security:

          5p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          7,213,558

          1.20%

          4,879,716

          0.81%

          (2)

          Cash-settled derivatives:

          and/or controlled:

          443,310

          0.07%

          5,687,556

          0.94%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          7,656,868

          1.28%

          10,567,272

          1.75%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Total number of

          Highest price per unit

          Lowest price per unit

          security

          securities

          paid/received

          paid/received

          5p ordinary

          Purchase

          3,859,457

          11.4600  GBP

          10.6500  GBP

          5p ordinary

          Sale

          3,784,798

          11.4650  GBP

          10.5485  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          5p ordinary

          SWAP

          Increasing Short

          6,284

          11.2016  GBP

          5p ordinary

          SWAP

          Increasing Short

          46,153

          11.2979  GBP

          5p ordinary

          SWAP

          Decreasing Short

          11,250

          10.5485  GBP

          5p ordinary

          SWAP

          Decreasing Short

          11,250

          10.7311  GBP

          5p ordinary

          SWAP

          Decreasing Short

          5,625

          10.8428  GBP

          5p ordinary

          SWAP

          Decreasing Short

          42

          10.8491  GBP

          5p ordinary

          SWAP

          Decreasing Short

          70,483

          10.9413  GBP

          5p ordinary

          SWAP

          Decreasing Short

          166,916

          10.9437  GBP

          5p ordinary

          SWAP

          Decreasing Short

          27,900

          10.9519  GBP

          5p ordinary

          SWAP

          Decreasing Short

          33

          10.9699  GBP

          5p ordinary

          SWAP

          Decreasing Short

          22,985

          11.0439  GBP

          5p ordinary

          SWAP

          Decreasing Short

          5,625

          11.0892  GBP

          5p ordinary

          SWAP

          Decreasing Short

          5,625

          11.1020  GBP

          5p ordinary

          SWAP

          Decreasing Short

          34

          11.1326  GBP

          5p ordinary

          SWAP

          Decreasing Short

          271,397

          11.1415  GBP

          5p ordinary

          SWAP

          Decreasing Short

          114

          11.1576  GBP

          5p ordinary

          SWAP

          Decreasing Short

          99,139

          11.1600  GBP

          5p ordinary

          SWAP

          Decreasing Short

          51,415

          11.1667  GBP

          5p ordinary

          SWAP

          Decreasing Short

          846

          11.1701  GBP

          5p ordinary

          SWAP

          Decreasing Short

          18,639

          11.1820  GBP

          5p ordinary

          SWAP

          Decreasing Short

          1,266

          11.1855  GBP

          5p ordinary

          SWAP

          Decreasing Short

          9,624

          11.2021  GBP

          5p ordinary

          SWAP

          Decreasing Short

          22,281

          11.2051  GBP

          5p ordinary

          SWAP

          Decreasing Short

          9

          11.2055  GBP

          5p ordinary

          SWAP

          Decreasing Short

          1,791

          11.2155  GBP

          5p ordinary

          SWAP

          Decreasing Short

          10,262

          11.2308  GBP

          5p ordinary

          SWAP

          Decreasing Short

          3,163

          11.2375  GBP

          5p ordinary

          SWAP

          Decreasing Short

          1,860

          11.2378  GBP

          5p ordinary

          SWAP

          Decreasing Short

          3,679

          11.2422  GBP

          5p ordinary

          SWAP

          Decreasing Short

          1,419

          11.2446  GBP

          5p ordinary

          SWAP

          Decreasing Short

          517,820

          11.2600  GBP

          5p ordinary

          SWAP

          Decreasing Short

          25,000

          11.2634  GBP

          5p ordinary

          SWAP

          Decreasing Short

          67

          11.2637  GBP

          5p ordinary

          SWAP

          Decreasing Short

          31,361

          11.2883  GBP

          5p ordinary

          SWAP

          Decreasing Short

          4,407

          11.2896  GBP

          5p ordinary

          SWAP

          Decreasing Short

          100

          11.2925  GBP

          5p ordinary

          SWAP

          Decreasing Short

          364

          11.2938  GBP

          5p ordinary

          SWAP

          Decreasing Short

          6,089

          11.3075  GBP

          5p ordinary

          SWAP

          Decreasing Short

          14,695

          11.3331  GBP

          5p ordinary

          SWAP

          Decreasing Short

          1,000

          11.4588  GBP

          5p ordinary

          SWAP

          Increasing Short

          25,000

          10.6899  GBP

          5p ordinary

          SWAP

          Increasing Short

          10,000

          10.7060  GBP

          5p ordinary

          SWAP

          Increasing Short

          13,976

          10.7296  GBP

          5p ordinary

          SWAP

          Increasing Short

          10,000

          10.7810  GBP

          5p ordinary

          SWAP

          Increasing Short

          18,906

          10.7921  GBP

          5p ordinary

          SWAP

          Increasing Short

          10,000

          10.8792  GBP

          5p ordinary

          SWAP

          Increasing Short

          1,000

          10.8860  GBP

          5p ordinary

          SWAP

          Increasing Short

          5,802

          10.9467  GBP

          5p ordinary

          SWAP

          Increasing Short

          32,014

          10.9967  GBP

          5p ordinary

          SWAP

          Increasing Short

          22,228

          11.0012  GBP

          5p ordinary

          SWAP

          Increasing Short

          290,626

          11.0043  GBP

          5p ordinary

          SWAP

          Increasing Short

          554

          11.0051  GBP

          5p ordinary

          SWAP

          Increasing Short

          10,205

          11.0129  GBP

          5p ordinary

          SWAP

          Increasing Short

          2,813

          11.1322  GBP

          5p ordinary

          SWAP

          Increasing Short

          2,813

          11.1422  GBP

          5p ordinary

          SWAP

          Increasing Short

          76,776

          11.1444  GBP

          5p ordinary

          SWAP

          Increasing Short

          34,368

          11.1479  GBP

          5p ordinary

          SWAP

          Increasing Short

          1,737

          11.1600  GBP

          5p ordinary

          SWAP

          Increasing Short

          67,886

          11.1606  GBP

          5p ordinary

          SWAP

          Increasing Short

          16,875

          11.1677  GBP

          5p ordinary

          SWAP

          Increasing Short

          5,625

          11.1686  GBP

          5p ordinary

          SWAP

          Increasing Short

          41,465

          11.1721  GBP

          5p ordinary

          SWAP

          Increasing Short

          2,813

          11.1972  GBP

          5p ordinary

          SWAP

          Increasing Short

          54,192

          11.1973  GBP

          5p ordinary

          SWAP

          Increasing Short

          11

          11.2018  GBP

          5p ordinary

          SWAP

          Increasing Short

          423

          11.2209  GBP

          5p ordinary

          SWAP

          Increasing Short

          127,422

          11.2439  GBP

          5p ordinary

          SWAP

          Increasing Short

          51,869

          11.2442  GBP

          5p ordinary

          SWAP

          Increasing Short

          5,400

          11.2458  GBP

          5p ordinary

          SWAP

          Increasing Short

          535,920

          11.2600  GBP

          5p ordinary

          SWAP

          Increasing Short

          44

          11.2900  GBP

          5p ordinary

          SWAP

          Increasing Short

          1,474

          11.3000  GBP

          5p ordinary

          SWAP

          Increasing Short

          2,813

          11.3114  GBP

          5p ordinary

          SWAP

          Increasing Short

          44,866

          11.3300  GBP

          5p ordinary

          SWAP

          Increasing Short

          9,881

          11.3306  GBP

          5p ordinary

          SWAP

          Increasing Short

          2,812

          11.3822  GBP

          5p ordinary

          CFD

          Decreasing Short

          11,889

          10.9224  GBP

          5p ordinary

          CFD

          Decreasing Short

          1,631

          11.1589  GBP

          5p ordinary

          CFD

          Decreasing Short

          26,553

          11.1989  GBP

          5p ordinary

          CFD

          Decreasing Short

          6,093

          11.2088  GBP

          5p ordinary

          CFD

          Decreasing Short

          2,869

          11.2519  GBP

          5p ordinary

          CFD

          Decreasing Short

          4,368

          11.2528  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercising

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the exempt principal trader making the disclosure and any other person relating to:

          (i)   the voting rights of any relevant securities under any option; or

          (ii)   the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  FEOQBLFXQFLLBBX

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          REG - Barclays PLC Picton Property Inc. - Form 8.3 PICTON PROPERTY INCOME LIMITED

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1261R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          PICTON PROPERTY INCOME LIMITED

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          NO

          disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          Ordinary NPV

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          4,828,186

          0.94%

          567,001

          0.11%

          (2)

          Cash-settled derivatives:

          17,054

          0.00%

          4,673,129

          0.91%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          4,845,240

          0.94%

          5,240,130

          1.02%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          Ordinary NPV

          Purchase

          177,445

          0.8310  GBP

          Ordinary NPV

          Purchase

          12,849

          0.8320  GBP

          Ordinary NPV

          Purchase

          7,690

          0.8325  GBP

          Ordinary NPV

          Purchase

          2,607

          0.8329  GBP

          Ordinary NPV

          Purchase

          698

          0.8300  GBP

          Ordinary NPV

          Purchase

          382

          0.8340  GBP

          Ordinary NPV

          Purchase

          36

          0.8330  GBP

          Ordinary NPV

          Sale

          50,000

          0.8339  GBP

          Ordinary NPV

          Sale

          6,665

          0.8315  GBP

          Ordinary NPV

          Sale

          4,782

          0.8318  GBP

          Ordinary NPV

          Sale

          2,702

          0.8320  GBP

          Ordinary NPV

          Sale

          1,635

          0.8330  GBP

          Ordinary NPV

          Sale

          1,073

          0.8338  GBP

          Ordinary NPV

          Sale

          382

          0.8340  GBP

          Ordinary NPV

          Sale

          175

          0.8310  GBP

          Ordinary NPV

          Sale

          115

          0.8300  GBP

          Ordinary NPV

          Sale

          16

          0.8307  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          Ordinary NPV

          SWAP

          Decreasing Short

          427

          0.8310  GBP

          Ordinary NPV

          SWAP

          Decreasing Short

          6,665

          0.8315  GBP

          Ordinary NPV

          SWAP

          Decreasing Short

          7,265

          0.8330  GBP

          Ordinary NPV

          SWAP

          Decreasing Short

          1,193

          0.8337  GBP

          Ordinary NPV

          SWAP

          Increasing Short

          108,025

          0.8310  GBP

          Ordinary NPV

          SWAP

          Increasing Short

          10,147

          0.8320  GBP

          Ordinary NPV

          SWAP

          Increasing Short

          7,265

          0.8330  GBP

          Ordinary NPV

          CFD

          Decreasing Short

          3,162

          0.8312  GBP

          Ordinary NPV

          CFD

          Decreasing Short

          1,599

          0.8329  GBP

          Ordinary NPV

          CFD

          Increasing Short

          2

          0.8300  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETURUARNSUAOAR

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          REG - Barclays PLC SolGold PLC - Form 8.3 SOLGOLD PLC

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1262R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          SOLGOLD PLC

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          NO

          disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          1p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          56,471,913

          1.87%

          3,974,019

          0.13%

          (2)

          Cash-settled derivatives:

          2,811,015

          0.09%

          56,471,913

          1.87%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          59,282,928

          1.97%

          60,445,932

          2.01%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          1p ordinary

          Purchase

          3,101,726

          0.2806  GBP

          1p ordinary

          Purchase

          2,417,061

          0.2808  GBP

          1p ordinary

          Purchase

          1,205,572

          0.2800  GBP

          1p ordinary

          Purchase

          370,419

          0.2807  GBP

          1p ordinary

          Purchase

          275,728

          0.2804  GBP

          1p ordinary

          Purchase

          148,488

          0.2805  GBP

          1p ordinary

          Purchase

          51,325

          0.2810  GBP

          1p ordinary

          Purchase

          6,718

          0.2799  GBP

          1p ordinary

          Purchase

          1,786

          0.2812  GBP

          1p ordinary

          Purchase

          506

          0.2795  GBP

          1p ordinary

          Sale

          2,217,905

          0.2800  GBP

          1p ordinary

          Sale

          1,173,702

          0.2809  GBP

          1p ordinary

          Sale

          1,013,326

          0.2807  GBP

          1p ordinary

          Sale

          875,399

          0.2806  GBP

          1p ordinary

          Sale

          501,077

          0.2805  GBP

          1p ordinary

          Sale

          469,525

          0.2803  GBP

          1p ordinary

          Sale

          443,028

          0.2802  GBP

          1p ordinary

          Sale

          183,286

          0.2810  GBP

          1p ordinary

          Sale

          63,143

          0.2798  GBP

          1p ordinary

          Sale

          1,786

          0.2812  GBP

          1p ordinary

          Sale

          506

          0.2795  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          1p ordinary

          SWAP

          Decreasing Short

          903,803

          0.2800  GBP

          1p ordinary

          SWAP

          Decreasing Short

          169,809

          0.2803  GBP

          1p ordinary

          SWAP

          Decreasing Short

          27,639

          0.2804  GBP

          1p ordinary

          SWAP

          Decreasing Short

          58,477

          0.2805  GBP

          1p ordinary

          SWAP

          Decreasing Short

          17,774

          0.2809  GBP

          1p ordinary

          SWAP

          Increasing Short

          11,319

          0.2800  GBP

          1p ordinary

          SWAP

          Increasing Short

          275,728

          0.2803  GBP

          1p ordinary

          SWAP

          Increasing Short

          1,477,974

          0.2806  GBP

          1p ordinary

          SWAP

          Increasing Short

          205,672

          0.2807  GBP

          1p ordinary

          SWAP

          Increasing Short

          972

          0.2809  GBP

          1p ordinary

          SWAP

          Increasing Short

          20,990

          0.2810  GBP

          1p ordinary

          CFD

          Opening Long

          404,477

          0.2800  GBP

          1p ordinary

          CFD

          Increasing Long

          234,713

          0.2801  GBP

          1p ordinary

          CFD

          Decreasing Long

          297,974

          0.2808  GBP

          1p ordinary

          CFD

          Opening Short

          107,657

          0.2810  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETAKKBBDBKDPDN

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          REG - Barclays PLC Life Science REIT - Form 8.3 LIFE SCIENCE REIT PLC

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1253R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          LIFE SCIENCE REIT PLC

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          YES:

          disclosures in respect of any other party to the offer?

          BRITISH LAND CO PLC/THE

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          1p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          134,303

          0.04%

          458,384

          0.13%

          (2)

          Cash-settled derivatives:

          91,161

          0.03%

          122,112

          0.03%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          225,464

          0.06%

          580,496

          0.17%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          1p ordinary

          Purchase

          194,429

          0.4270  GBP

          1p ordinary

          Purchase

          94,356

          0.4268  GBP

          1p ordinary

          Purchase

          2,109

          0.4259  GBP

          1p ordinary

          Purchase

          768

          0.4285  GBP

          1p ordinary

          Purchase

          118

          0.4280  GBP

          1p ordinary

          Sale

          278,514

          0.4269  GBP

          1p ordinary

          Sale

          3,075

          0.4280  GBP

          1p ordinary

          Sale

          1,000

          0.4270  GBP

          1p ordinary

          Sale

          695

          0.4285  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          1p ordinary

          SWAP

          Decreasing Long

          10,157

          0.4272  GBP

          1p ordinary

          SWAP

          Decreasing Short

          848

          0.4279  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETAKKBBDBKDNDN

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          REG - Barclays PLC Just Group plc - Form 8.3 JUST GROUP PLC

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1251R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          JUST GROUP PLC

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          NO

          disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          10p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          56,256,403

          5.42%

          1,740,857

          0.17%

          (2)

          Cash-settled derivatives:

          1,185,823

          0.11%

          56,257,527

          5.42%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          57,442,226

          5.53%

          57,998,384

          5.58%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          10p ordinary

          Purchase

          287,392

          2.1600  GBP

          10p ordinary

          Purchase

          214,390

          2.1635  GBP

          10p ordinary

          Purchase

          156,561

          2.1650  GBP

          10p ordinary

          Purchase

          52,900

          2.1598  GBP

          10p ordinary

          Purchase

          33,207

          2.1615  GBP

          10p ordinary

          Purchase

          11,178

          2.1625  GBP

          10p ordinary

          Sale

          398,157

          2.1600  GBP

          10p ordinary

          Sale

          59,221

          2.1650  GBP

          10p ordinary

          Sale

          58,801

          2.1625  GBP

          10p ordinary

          Sale

          8,003

          2.1646  GBP

          10p ordinary

          Sale

          6,417

          2.1604  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          10p ordinary

          SWAP

          Increasing Short

          13,311

          2.1625  GBP

          10p ordinary

          SWAP

          Decreasing Short

          51,100

          2.1598  GBP

          10p ordinary

          SWAP

          Decreasing Short

          18,103

          2.1599  GBP

          10p ordinary

          SWAP

          Decreasing Short

          1,273

          2.1600  GBP

          10p ordinary

          SWAP

          Decreasing Short

          1,314

          2.1603  GBP

          10p ordinary

          SWAP

          Decreasing Short

          2,768

          2.1625  GBP

          10p ordinary

          SWAP

          Decreasing Short

          8,003

          2.1646  GBP

          10p ordinary

          SWAP

          Decreasing Short

          157

          2.1650  GBP

          10p ordinary

          SWAP

          Increasing Short

          26,948

          2.1600  GBP

          10p ordinary

          SWAP

          Increasing Short

          345

          2.1625  GBP

          10p ordinary

          SWAP

          Increasing Short

          214,390

          2.1635  GBP

          10p ordinary

          SWAP

          Increasing Short

          8,008

          2.1639  GBP

          10p ordinary

          SWAP

          Increasing Short

          6,897

          2.1642  GBP

          10p ordinary

          SWAP

          Increasing Short

          96,263

          2.1650  GBP

          10p ordinary

          CFD

          Decreasing Short

          55,854

          2.1625  GBP

          10p ordinary

          CFD

          Increasing Short

          10,595

          2.1651  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETFBLFXQFLLBBL

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          REG - Barclays PLC JTC PLC - Form 8.3 JTC PLC

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1248R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          JTC PLC

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          NO

          disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          1p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          4,083,075

          2.37%

          510,517

          0.30%

          (2)

          Cash-settled derivatives:

          347,195

          0.20%

          4,083,075

          2.37%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          4,430,270

          2.57%

          4,593,592

          2.66%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          1p ordinary

          Purchase

          119,505

          12.9164  GBP

          1p ordinary

          Purchase

          20,500

          12.9064  GBP

          1p ordinary

          Purchase

          14,337

          12.9000  GBP

          1p ordinary

          Purchase

          1,074

          12.9200  GBP

          1p ordinary

          Purchase

          738

          12.8974  GBP

          1p ordinary

          Purchase

          234

          12.9100  GBP

          1p ordinary

          Purchase

          86

          12.8998  GBP

          1p ordinary

          Purchase

          8

          12.8987  GBP

          1p ordinary

          Purchase

          6

          12.8989  GBP

          1p ordinary

          Sale

          15,190

          12.9000  GBP

          1p ordinary

          Sale

          907

          12.9100  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          1p ordinary

          SWAP

          Decreasing Short

          93

          12.8993  GBP

          1p ordinary

          SWAP

          Decreasing Short

          303

          12.9000  GBP

          1p ordinary

          SWAP

          Decreasing Short

          798

          12.9100  GBP

          1p ordinary

          SWAP

          Increasing Short

          246

          12.9000  GBP

          1p ordinary

          SWAP

          Increasing Short

          20,500

          12.9064  GBP

          1p ordinary

          SWAP

          Increasing Short

          119,505

          12.9164  GBP

          1p ordinary

          SWAP

          Increasing Short

          509

          12.9200  GBP

          1p ordinary

          CFD

          Increasing Short

          408

          12.9207  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETWPUGPGUPQGGU

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          REG - Barclays PLC Auction Technology - Form 8.3 AUCTION TECHNOLOGY GROUP PLC

          London Stock Exchange
          Barclays
          -0.48%
          RNS Number : 1232R Barclays PLC 30 January 2026  

          FORM 8.3

          PUBLIC OPENING POSITION DISCLOSURE/DEALING DISCLOSURE BY

          A PERSON WITH INTERESTS IN RELEVANT SECURITIES REPRESENTING 1% OR

          MORE

          Rule 8.3 of the Takeover Code (the "Code")

          1.

          KEY INFORMATION

          (a)

          Full name of discloser:

          Barclays PLC.

          (b)

          Owner or controller of interest and short

          positions disclosed, if different from 1(a):

          (c)

          Name of offeror/offeree in relation to whose

          AUCTION TECHNOLOGY GROUP PLC

          relevant securities this form relates:

          (d)

          If an exempt fund manager connected with an

          offeror/offeree, state this and specify identity of

          offeror/offeree:

          (e)

          Date position held/dealing undertaken:

          29 Jan 2026

          (f)

          In addition to the company in 1(c) above, is the discloser making

          NO

          disclosures in respect of any other party to the offer?

          2.

          POSITIONS OF THE PERSON MAKING THE DISCLOSURE

          (a)

          Interests and short positions in the relevant securities of the offeror or offeree

          to which the disclosure relates following the dealing(if any)

          Class of relevant security:

          0.01p ordinary

          Interests

          Short Positions

          Number

          (%)

          Number

          (%)

          (1)

          Relevant securities owned

          and/or controlled:

          2,060,515

          1.70%

          2,686,469

          2.22%

          (2)

          Cash-settled derivatives:

          2,452,182

          2.02%

          1,040,955

          0.86%

          (3)

          Stock-settled derivatives (including options)

          and agreements to purchase/sell:

          0

          0.00%

          0

          0.00%

          TOTAL:

          4,512,697

          3.73%

          3,727,424

          3.08%

          (b)

          Rights to subscribe for new securities (including directors and other executive

          options)

          Class of relevant security in relation to

          which subscription right exists

          Details, including nature of the rights

          concerned and relevant percentages:

          3.

          DEALINGS (IF ANY) BY THE PERSON MAKING THE DISCLOSURE

          (a)

          Purchases and sales

          Class of relevant

          Purchase/sale

          Number of

          Price per unit

          security

          securities

          0.01p ordinary

          Purchase

          19,895

          3.0612  GBP

          0.01p ordinary

          Purchase

          12,832

          3.0742  GBP

          0.01p ordinary

          Purchase

          10,865

          3.0463  GBP

          0.01p ordinary

          Purchase

          10,230

          3.0700  GBP

          0.01p ordinary

          Purchase

          10,067

          3.0576  GBP

          0.01p ordinary

          Purchase

          7,402

          3.0193  GBP

          0.01p ordinary

          Purchase

          6,571

          3.0227  GBP

          0.01p ordinary

          Purchase

          6,324

          3.0304  GBP

          0.01p ordinary

          Purchase

          2,569

          3.0865  GBP

          0.01p ordinary

          Purchase

          2,354

          3.0200  GBP

          0.01p ordinary

          Purchase

          2,143

          3.0500  GBP

          0.01p ordinary

          Purchase

          1,845

          3.0840  GBP

          0.01p ordinary

          Purchase

          1,593

          3.0461  GBP

          0.01p ordinary

          Purchase

          1,171

          3.0563  GBP

          0.01p ordinary

          Purchase

          830

          3.1050  GBP

          0.01p ordinary

          Purchase

          739

          3.0550  GBP

          0.01p ordinary

          Purchase

          509

          3.0850  GBP

          0.01p ordinary

          Purchase

          467

          3.0450  GBP

          0.01p ordinary

          Purchase

          457

          3.0449  GBP

          0.01p ordinary

          Purchase

          376

          3.0900  GBP

          0.01p ordinary

          Purchase

          266

          3.0600  GBP

          0.01p ordinary

          Purchase

          258

          3.0544  GBP

          0.01p ordinary

          Purchase

          192

          3.0400  GBP

          0.01p ordinary

          Purchase

          191

          3.0800  GBP

          0.01p ordinary

          Purchase

          110

          3.0650  GBP

          0.01p ordinary

          Purchase

          19

          3.0300  GBP

          0.01p ordinary

          Purchase

          6

          3.0250  GBP

          0.01p ordinary

          Purchase

          1

          3.0274  GBP

          0.01p ordinary

          Purchase

          1

          3.0350  GBP

          0.01p ordinary

          Sale

          32,473

          3.0454  GBP

          0.01p ordinary

          Sale

          32,247

          3.0739  GBP

          0.01p ordinary

          Sale

          18,249

          3.0564  GBP

          0.01p ordinary

          Sale

          17,999

          3.0529  GBP

          0.01p ordinary

          Sale

          15,190

          3.0241  GBP

          0.01p ordinary

          Sale

          8,342

          3.0738  GBP

          0.01p ordinary

          Sale

          7,909

          3.0281  GBP

          0.01p ordinary

          Sale

          7,474

          3.0693  GBP

          0.01p ordinary

          Sale

          6,571

          3.0580  GBP

          0.01p ordinary

          Sale

          5,192

          3.0400  GBP

          0.01p ordinary

          Sale

          4,500

          3.0524  GBP

          0.01p ordinary

          Sale

          2,304

          3.0200  GBP

          0.01p ordinary

          Sale

          2,300

          3.0331  GBP

          0.01p ordinary

          Sale

          2,152

          3.1130  GBP

          0.01p ordinary

          Sale

          1,498

          3.0402  GBP

          0.01p ordinary

          Sale

          1,445

          3.0584  GBP

          0.01p ordinary

          Sale

          1,160

          3.0499  GBP

          0.01p ordinary

          Sale

          1,119

          3.0583  GBP

          0.01p ordinary

          Sale

          1,022

          3.0500  GBP

          0.01p ordinary

          Sale

          996

          3.0600  GBP

          0.01p ordinary

          Sale

          977

          3.0612  GBP

          0.01p ordinary

          Sale

          830

          3.1050  GBP

          0.01p ordinary

          Sale

          775

          3.0708  GBP

          0.01p ordinary

          Sale

          717

          3.0597  GBP

          0.01p ordinary

          Sale

          711

          3.0900  GBP

          0.01p ordinary

          Sale

          521

          3.0450  GBP

          0.01p ordinary

          Sale

          483

          3.0455  GBP

          0.01p ordinary

          Sale

          439

          3.0599  GBP

          0.01p ordinary

          Sale

          276

          3.0565  GBP

          0.01p ordinary

          Sale

          269

          3.0550  GBP

          0.01p ordinary

          Sale

          230

          3.0700  GBP

          0.01p ordinary

          Sale

          191

          3.0800  GBP

          0.01p ordinary

          Sale

          110

          3.0650  GBP

          0.01p ordinary

          Sale

          79

          3.0850  GBP

          0.01p ordinary

          Sale

          19

          3.0300  GBP

          0.01p ordinary

          Sale

          6

          3.0250  GBP

          0.01p ordinary

          Sale

          1

          3.0350  GBP

          (b)

          Cash-settled derivative transactions

          Class of

          Product

          Nature of dealing

          Number of

          Price per

          relevant

          description

          reference

          unit

          security

          securities

          0.01p ordinary

          SWAP

          Increasing Long

          3,360

          3.0200  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          2,300

          3.0331  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          2,271

          3.0356  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          1,498

          3.0402  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          12,717

          3.0454  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          23,000

          3.0498  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          1,160

          3.0499  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          1,689

          3.0541  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          153

          3.0580  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          6,865

          3.0604  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          4

          3.0625  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          1,153

          3.0641  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          95

          3.0643  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          22

          3.0650  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          891

          3.0690  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          7,474

          3.0693  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          4,300

          3.0698  GBP

          0.01p ordinary

          SWAP

          Increasing Long

          8,342

          3.0738  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          17

          3.0200  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          4,181

          3.0201  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          1,593

          3.0461  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          2,093

          3.0500  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          10,067

          3.0576  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          312

          3.0600  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          10,000

          3.0703  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          1,845

          3.0840  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          430

          3.0850  GBP

          0.01p ordinary

          SWAP

          Decreasing Long

          2,257

          3.0901  GBP

          0.01p ordinary

          CFD

          Increasing Long

          1,070

          3.0200  GBP

          0.01p ordinary

          CFD

          Increasing Long

          7,909

          3.0281  GBP

          0.01p ordinary

          CFD

          Increasing Long

          10,028

          3.0550  GBP

          0.01p ordinary

          CFD

          Increasing Long

          4,008

          3.0576  GBP

          0.01p ordinary

          CFD

          Increasing Long

          1,119

          3.0583  GBP

          0.01p ordinary

          CFD

          Increasing Long

          8,822

          3.0600  GBP

          0.01p ordinary

          CFD

          Decreasing Long

          1,683

          3.0686  GBP

          (c)

          Stock-settled derivative transactions (including options)

          (i)

          Writing, selling, purchasing or varying

          Class

          Product

          Writing,

          Number

          Exercise

          Type

          Expiry

          Option

          of

          description

          purchasing,

          of

          price

          date

          money

          relevant

          selling,

          securities

          per unit

          paid/

          security

          varying etc

          to which

          received

          option

          per unit

          relates

          (ii)

          Exercise

          Class of relevant

          Product description

          Exercising/ exercised against

          Number of

          Exercise price per

          security

          securities

          unit

          (d)

          Other dealings (including subscribing for new securities)

          Class of relevant

          Nature of Dealings

          Details

          Price per unit (if

          security

          applicable)

          4.

          OTHER INFORMATION

          (a)

          Indemnity and other dealings arrangements

          Details of any indemnity or option arrangement, or any agreement or understanding,

          formal or informal, relating to relevant securities which may be an inducement to deal

          or refrain from dealing entered into by the exempt principal trader making the disclosure and any party

          to the offer or any person acting in concert with a party to the offer:

          NONE

          (b)

          Agreements, arrangements or understandings relating to options or derivatives

          Details of any agreement, arrangement or understanding, formal or informal, between

          the person making the disclosure and any other person relating to:

          (i)  the voting rights of any relevant securities under any option; or

          (ii) the voting rights of future acquisition or disposal of any relevant securities to which

          any derivative is referenced:

          NONE

          (c)

          Attachments

          Is a Supplemental Form 8 (Open Positions) attached?

          NO

          Date of disclosure:

          30 Jan 2026

          Contact name:

          Large Holdings Regulatory Operations

          Telephone number:

          020 3134 7213

          This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

          RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  RETEAFFEDFXKEFA

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