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Zumtobel Group AG

Declaration of Voting Results & Voting Rights Announcements Jul 18, 2018

770_mrq_2018-07-18_b0a4ac3c-1b91-4ed0-a2f6-3cda5a3e59bf.pdf

Declaration of Voting Results & Voting Rights Announcements

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publication: 18.07.2018 18:00 source: http://adhoc.pressetext.com/news/1531929600844 keywords: Company / Voting rights / Zumtobel Group AG

Holding announcement according to article 135 section 2 BörseG (ESMA 2015/1597)

Zumtobel Group AG: Release according to art. 135 section 2 BörseG

Dornbirn (pta026/18.07.2018/18:00) - Release of Announcement according to art. 135 section 2 BörseG Notification of Major Holdings

1. Issuer:

Zumtobel Group AG, Höchster Straße 8, 6850 Dornbirn, Austria

2. Reason for notification:

Acquisition / disposal of shares with voting rights

3. Details of person subject to the notification obligation

Name: OYSTER SICAV City and country of registered office: Luxembourg, Luxembourg

4. Names of shareholder(s) holding directly 3% or more voting rights, if different from 3

OYSTER DIVERSIVIED GBP OYSTER CONTINENTAL EUROPEAN SELECTION OYSTER EUROPEAN SELECTION OYSTER MULTI-ASSET DIVERSIVIED

5. Date on which threshold was crossed or reached

08.02.2018

6. Total positions

% of voting rights
attached to shares
(total of 7.a.)
% of voting rights
through instruments
(total of 7.b.1 +
7.b.2)
total of both in %
(7.a. + 7.b.)
total number of
voting rights of
issuer
Resulting situation
on the date on
which threshold
was crossed /
reached
2.48 0.00 2.48 43,500,000
Position of previous
notification
4,02 0 4,02

7. Notified details of the resulting situation

7.a. Voting rights attached to shares

ISIN code absolute direct (Sec absolute indirect in % direct (Sec in % indirect (Sec
130 BörseG 2018) (Sec 133 BörseG 130 BörseG 2018) 133 BörseG 2018)
2018)
AT0000837307 1,077,099 0 2.48 0.00
Total: 1,077,099 2.48

7.b.1. Financial / Other Instruments pursuant to Sec. 131 para. 1 No. 1 BörseG 2018

Type of instrument Expiration Date Exercise Period Voting Rights
Absolute
Voting Rights in %
Total:

7.b.2 Financial / Other Instruments pursuant to Sec. 131 para. 1 No. 2 BörseG 2018

Type of Expiration Date Exercise Period Physical /Cash Voting Rights Voting Rights in
instrument Settlement Absolute %
Total:

8. Information in relation to the person subject to the notification obligation

Person subject to the notification obligation is not controlled and does itself not control any other undertaking(s) holding directly or

indirectly an interest in the (underlying) issuer (1.).

No. Name Directly Shares held Financial/other Total of both
controlled by directly (%) instruments (%)
No. held directly (%)

9. In case of proxy voting

Date of general meeting: N/A

10. Additional Information

SYZ ASSET MANAGEMENT (LUXEMBOURG) SA is the Management Company of OYSTER SICAV and its underlying sub-funds.

emitter: Zumtobel Group AG
Höchster Straße 8
6850 Dornbirn
Austria
contact person: Harald Albrecht
phone: +43 (0)5572 509-1125
e-mail: [email protected]
website: www.zumtobelgroup.com
ISIN(s): AT0000837307 (share)
stock exchanges: official trade in Vienna

News transmitted by pressetext.adhoc. The emitter is responsible for the content.

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