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Thu 30 Oct 2008, 15:06 LON - Lonmin Plc - Form TR-1 with annex. FSA Version 2.1 updated April 2007
LON
LOLMI                                                                           
LON - Lonmin Plc - Form TR-1 with annex. FSA Version 2.1 updated April 2007     
Lonmin Plc (Incorporated in England and Wales)                                  
(Registered in the Republic of South Africa under registration number           
1969/000015/10)                                                                 
JSE code: LON                                                                   
Issuer Code: LOLMI & ISIN : GB0031192486 ("Lonmin")                             
Form TR-1 with annex. FSA Version 2.1 updated April 2007                        
For filings with the FSA include                                                
the annex                                                                       
For filings with issuer exclude                                                 
the annex                                                                       
TR-1: Notifications of Major Interests in Shares                                
                                                                                
1. Identity of the issuer or the       LONMIN PLC                               
underlying issuer of existing shares                                            
to which voting rights are attached:                                            
2. Reason for notification (yes/no)                                             
                                                      YES                       
An acquisition or disposal of voting rights                                     

An acquisition or disposal of financial instruments                             
which may result in the acquisition of shares already                           
issued to which voting rights are attached                                      

An event changing the breakdown of voting rights                                
                                                                                
Other (please specify):______________                                           

3. Full name of person(s)        Credit Suisse Securities                       
subject to notification          (Europe) Limited                               
obligation:                                                                     

4. Full name of shareholder(s)   Credit Suisse Securities                       
(if different from 3):           (Europe) Limited                               
                                Credit Suisse - Investment                      
Banking Division                                
                                Credit Suisse-  Securities                      
                                (USA) LLC                                       
                                                                                

5. Date of transaction (and      27.10.08                                       
date on which the threshold is                                                  
crossed or reached if                                                           
different):                                                                     
                                                                                
6. Date on which issuer          29.10.08                                       
notified:                                                                       

7. Threshold(s) that is/are                                                     
crossed or reached:              5%                                             
                                                                                
8: Notified Details                                                             
A: Voting rights attached to shares                                             
Class/type   Situation previous to  Resulting situation after the triggering    
of shares    the triggering         transaction                                 
If possible  transaction                                                        
use ISIN                                                                        
code                                                                            
            Number of   Number of  Number of  Number of voting    Percentage    
shares      voting     shares     rights              of voting     
                        rights                                    rights        
                                                                                
                                              Direct    Indirect  Direct Indi   
rect   
ORD                                                                             
GB0031192486 10,580,110  10,580,110 9,125,201  9,125,201 N/A       5.84%  N/A   
ADR                                                                             
US54336Q2030 6           6          6          6         N/A       0.00%  N/A   
B: Financial Instruments                                                        
Resulting situation after the triggering transaction                            
Type of     Expiration   Exercise/    No. of voting rights  Percentage          
financial   date         conversion   that may be acquired  of voting           
instrument               period/date  (if the instrument    rights              
                                     exercised/converted)                       
                                                                                

Total (A+B)                                                                     
Number of voting rights         Percentage of voting rights                     
                                                                                
9,125,207                       5.84%                                           
                                                                                
9. Chain of controlled undertakings through which the voting                    
rights and /or the financial instruments are effectively held,                  
if applicable:                                                                  
Credit Suisse Securities (Europe) Limited and Credit suisse                     
international are part of the Investment Banking division of                    
Credit Suisse ("CSIBD"), which is part of the Credit Suisse                     
Group ("CSG"). CSIBD is a segregated business unit within CSG                   
with an independent management structure and exercises its                      
voting rights independently from other divsions of CSG                          
Proxy Voting:                                                                   
10. Name of proxy holder:                                                       
11. Number of voting rights                                                     
proxy holder will cease to                                                      
hold:                                                                           
12. Date on which proxy holder                                                  
will cease to hold voting                                                       
rights:                                                                         
13. Additional information:                                                     
14 Contact name:                Seema Kamboj                                    
15. Contact telephone number:   + 44 207 201 6053                               
For notes on how to complete form TR-1 please see the FSA website               
Date: 30/10/2008 15:06:15 Produced by the JSE SENS Department.                  
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