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SC 13D/A
SPORTS DIRECT INTERNATIONAL PLC filed this Form SC 13D/A on 07/13/2017
Entire Document
 

 

  

The following constitutes Amendment No. 13 (“Amendment No. 13”) to the Schedule 13D filed by the undersigned on April 14, 2017 as amended by Amendment No. 1 thereto filed on May 19, 2017, Amendment No. 2 thereto filed on May 22, 2017, Amendment No. 3 thereto filed on May 25, 2017, Amendment No. 4 thereto filed on June 5, 2017, Amendment No. 5 thereto filed on June 7, 2017, Amendment No. 6 thereto filed on June 19, 2017, Amendment No. 7 thereto filed on June 20, 2017, Amendment No. 8 thereto filed on June 22, 2017, Amendment No. 9 thereto filed on June 23, 2017, Amendment No. 10 thereto filed on June 27, 2017, Amendment No. 11 thereto filed on July 7, 2017 and Amendment No. 12 thereto filed on July 11, 2017 (the “Schedule 13D”). This Amendment No. 13 amends the Schedule 13D as specifically set forth.

 

Item 5. Interest in Securities of the Issuer

 

Item 5 of the Schedule 13D is hereby amended and restated in its entirety as follows:

 

(a) The Reporting Person has an indirect economic interest in 7,768,438 Shares, representing a 19.35% economic interest in the Shares. Such interest is held through the CFDs with ETX Capital listed in paragraph (c) of this Item 5.

(b) Pursuant to the CFDs, the Reporting Person does not have the power to vote or direct the vote, or power to dispose or direct the disposition, of any of the Shares and, accordingly, beneficial ownership is disclaimed pursuant to Rules 13d-4 and 16a-1(a)(4) for Section13(d) and Section 16(a) purposes.

(c) The following table lists each of the purchases and sales by the Reporting Person of CFDs in respect of the Shares during the past 60 days. Each of these CFDs were entered into with ETX Capital and provide that the parties will exchange the difference in the value of the Shares at the time at which the contract is agreed and the time at which it is closed.

 

Date of

transaction

Type of

transaction

Number of

Shares subject

to the CFD

Price per

Share at the

time CFD

agreed (USD)

16 May 2017 Purchase 245,151 13.86
17 May 2017 Purchase 278,911 13.75
18 May 2017 Purchase 182,929 13.67
19 May 2017 Purchase 1,600,622 13.32
22 May 2017 Purchase 53,800 13.96
23 May 2017 Purchase 285,212 13.99
24 May 2017 Purchase 102,682 13.91
25 May 2017 Purchase 27,425 14.00
26 May 2017 Purchase 69,609 13.98
30 May 2017 Purchase 53,078 14.03
31 May 2017 Purchase 202,879 13.99
1 June 2017 Purchase 7,100 13.98
2 June 2017 Purchase 721,321 13.85
5 June 2017 Purchase 67,075 13.91
6 June 2017 Purchase 478,408 13.90
7 June 2017 Purchase 130,391 13.84
14 June 2017 Purchase 55,500 13.95
15 June 2017 Purchase 134,404 13.94
16 June 2017 Purchase 80,000 13.60
23 June 2017 Sale 7,093 14.01
28 June 2017 Sale 13,438 14.60
29 June 2017 Sale 38,905 14.73
29 June 2017 Sale 59,469 14.73
30 June 2017 Sale 4,000 14.53
3 July 2017 Sale 45,994 14.66
5 July 2017 Sale 31,101 14.70

 

(d) Not known.

(e) Not applicable.