1 March 2021

Partial offer

Disclosure of dealings in the shares of Kerry Logistics Network Limited

The Executive received the following disclosure of securities dealings pursuant to Rule 22 of the Hong Kong Code on Takeovers and Mergers:

Party

Date

Description of relevant securities

Description of products

Nature of dealings

Number of reference securities to which the derivatives relate

Maturity date / closing out date

Reference price

Total amount paid / received

Resultant balance (including those of any person with whom there is an agreement or understanding)

J.P. Morgan Securities PLC

26 February 2021

Derivatives

Other types of products

Closing out of a derivative contract

15,000

8 February 2023

$22.7493

$341,239.5000

3,121,995

Derivatives

Other types of products

Closing out of a derivative contract

14,500

8 February 2023

$22.7493

$329,864.8500

3,136,495

Derivatives

Other types of products

Closing out of a derivative contract

10,000

28 February 2022

$22.5655

$225,655.0000

3,126,495

Derivatives

Other types of products

Closing out of a derivative contract

500

30 January 2023

$22.9781

$11,489.0300

3,126,995

Derivatives

Other types of products

Closing out of a derivative contract

5,500

2 June 2021

$22.6415

$124,528.2500

3,121,495

Derivatives

Other types of products

Closing out of a derivative contract

108,000

19 October 2022

$22.7347

$2,455,347.6000

3,013,495

End

Note:

J.P. Morgan Securities PLC is a Class (5) associate connected with the Offeror. Dealings were made for its own account.

J.P. Morgan Securities PLC is ultimately owned by JPMorgan Chase & Co.

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Kerry Logistics Network Ltd. published this content on 01 March 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 01 March 2021 09:27:02 UTC.