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DraftKings Inc.

Regulatory Filings Oct 5, 2021

30277_rns_2021-10-05_bbba3f43-8fa2-4319-8450-602e5144d31a.html

Regulatory Filings

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National Storage Mechanism | Additional information

RNS Number : 0807O

DraftKings Inc.

05 October 2021

FORM 8 (OPD)

PUBLIC OPENING POSITION DISCLOSURE BY A PARTY TO AN OFFER

Rules 8.1 and 8.2 of the Takeover Code (the "Code")

1.         KEY INFORMATION

(a) Full name of discloser: DRAFTKINGS INC.
(b) Owner or controller of interests and short positions disclosed, if different from 1(a):

     The naming of nominee or vehicle companies is insufficient.  For a trust, the trustee(s), settlor and beneficiaries must be named.
N/A
(c) Name of offeror/offeree in relation to whose relevant securities this form relates:

     Use a separate form for each offeror/offeree
DRAFTKINGS INC.
(d) Is the discloser the offeror or the offeree? OFFEROR
(e) Date position held:

     The latest practicable date prior to the disclosure
4 OCTOBER 2021
(f)  In addition to the company in 1(c) above, is the discloser making disclosures in respect of any other party to the offer?

     If it is a cash offer or possible cash offer, state "N/A"
YES - ENTAIN PLC

2.         POSITIONS OF THE PARTY TO THE OFFER MAKING THE DISCLOSURE

If there are positions or rights to subscribe to disclose in more than one class of relevant securities of the offeror or offeree named in 1(c), copy table 2(a) or (b) (as appropriate) for each additional class of relevant security.

(a)        Interests and short positions in the relevant securities of the offeror or offeree to which the disclosure relates  

Class of relevant security: Class A common stock, par value $0.0001 each
Interests Short positions
Number % Number %
(1) Relevant securities owned and/or controlled: Nil - Nil -
(2) Cash-settled derivatives: Nil - Nil -
(3) Stock-settled derivatives (including options) and agreements to purchase/sell: 13,336,895(1) 3.288 Nil -
TOTAL: 13,336,895 3.288 Nil -

Notes

(1)   In connection with the issuance by the offeror of zero-coupon convertible senior notes due 2028 in an aggregate principal amount of $1,265,000,000, which are convertible into Class A common stock of the offeror under certain circumstances and during certain periods, the offeror entered into privately negotiated capped call options on 15 March 2021 and 16 March 2021.  See Supplemental Form 8 (Opening Positions).

Class of relevant security: Class B common stock, par value $0.0001 each
Interests Short positions
Number % Number %
(1) Relevant securities owned and/or controlled: Nil - Nil -
(2) Cash-settled derivatives: Nil - Nil -
(3) Stock-settled derivatives (including options) and agreements to purchase/sell: Nil - Nil -
TOTAL: Nil - Nil -
Class of relevant security: 0% convertible senior notes due 2028
Interests Short positions
Number % Number %
(1) Relevant securities owned and/or controlled: Nil - Nil -
(2) Cash-settled derivatives: Nil - Nil -
(3) Stock-settled derivatives (including options) and agreements to purchase/sell: Nil - Nil -
TOTAL: Nil - Nil -

All interests and all short positions should be disclosed.

Details of any open stock-settled derivative positions (including traded options), or agreements to purchase or sell relevant securities, should be given on a Supplemental Form 8 (Open Positions).

Details of any securities borrowing and lending positions or financial collateral arrangements should be disclosed on a Supplemental Form 8 (SBL).

(b)        Rights to subscribe for new securities

Class of relevant security in relation to which subscription right exists: None.
Details, including nature of the rights concerned and relevant percentages: None.

3.         POSITIONS OF PERSONS ACTING IN CONCERT WITH THE PARTY TO THE OFFER MAKING THE DISCLOSURE

Details of any interests, short positions and rights to subscribe (including directors' and other employee options) of any person acting in concert with the party to the offer making the disclosure:

3(a) Interests in shares of DraftKings Inc. Class A common stock and Class B common stock held by directors of DraftKings Inc. and their close relatives and related trusts

Name Number of shares of Class A common stock held Percentage of shares of Class A common stock (%) Number of shares of Class B common stock held Percentage of shares of Class B common stock (%)
Jason Robins 4,374,336(1) 1.078 393,013,951 100
Harry Evans Sloan 400,000(2) 0.099 - -
Matthew Kalish 2,098,715(3) 0.517 - -
Paul Liberman 2,019,997 (4) 0.498 - -
Woodrow H. Levin 301,540(5) 0.074 - -
Shalom Meckenzie 19,382,908(6) 4.779 - -
Jocelyn Moore 4,476 0.001 - -
Ryan R. Moore 7,774,702(7) 1.917 - -
Valerie Mosley 4,500 0.001 - -
Steven J. Murray 17,347 0.004 - -
Hany M. Nada 1,091,645 0.269 - -
John S. Salter - - - -
Marni M. Walden 63,974 0.016 - -
Total 37,534,140 9.254 393,013,951 100

Notes

(1)   Includes (a) 200,000 shares held by a trust managed by an independent trustee for the benefit of Mr. Robins' parents and descendants and (b) 4,500 shares held by Mr. Robins' parents.

(2)   All 400,000 shares are held by a trust managed by an independent trustee for the benefit of the children of the Sloan family.

(3)   Includes (a) 257,722 shares held by a trust managed by an independent trustee for the benefit of Mr. Kalish, Mr. Kalish's father, Mr. Kalish's brother and Mr. Kalish's children, (b) 6,568 shares held by a trust managed by an independent trustee for the benefit of Mr. Kalish's descendants, (c) 29,348 shares held by Mr Kalish's brother and (d) 10,000 shares held by Mr Kalish's father.

(4)   Includes (a) 4,286 shares held by a trust managed by Mr. Liberman and his spouse as the trustees for the benefit of Mr. Liberman, (b) 272,357 shares held by a trust managed by an independent trustee for the benefit of Mr. Liberman, Mr. Liberman's spouse, Mr. Liberman's children, Mr. Liberman's parents, Mr. Liberman's brother, Mr. Liberman's sister-in-law and Mr. Liberman's mother-in-law, (c) 13,597 shares held by a trust managed by Mr. Liberman as the trustee for the benefit of himself, (d) 200,000 shares held by a trust managed by an independent trustee for the benefit of Mr. Liberman's spouse and Mr. Liberman's descendants and (e) 200,000 shares held by a trust managed by Mr. Liberman and Mr. Liberman's spouse as the trustees for the benefit of Mr. Liberman's spouse.

(5)   Includes (a) 44,616 shares held by a trust managed by Mr. Levin's sister as trustee for the benefit of Mr. Levin's wife, children, parents and sister, (b) 114,905 shares held by a trust managed by an independent trustee for the benefit of Mr. Levin's wife and children, (c) 114,905 shares held by a trust managed by an independent trustee for the benefit of Mr. Levin's wife, children, parents and sister and (d) 14,609 shares held by Mr. Levin's sister.

(6)   Includes (a) 19,075,875 shares held by a trust managed by an independent trustee for the benefit of Mr. Meckenzie's wife, children and future descendants and (b) 294,704 shares held by Mr. Meckenzie's brother.

(7)   Includes shares held by the following affiliated persons of Ryan Moore: (a) 6,555,608 shares held by Atlas Venture Fund VIII, L.P., (b) 765,616 shares held by Accomplice Fund I. L.P., (c) 147,846 shares held by Accomplice Management Holdings, LLC and (d) 279,989 shares held by Accomplice Fund II, L.P. 

3(b) Stock options over DraftKings Inc. Class A common stock held by the directors of DraftKings Inc. and their close relatives and related trusts

Stock Options

Name Grant  Date Expiry Date Number of Options Exercise Price Vesting
Jason Robins 10/02/2016 18/02/2025 327,461(1) $0.63 Fully Vested
24/03/2016 24/03/2026 1,286,924(2) $0.63 Fully Vested
03/05/2017 03/05/2017 869,991(3) $3.82 Fully Vested
18/04/2018 18/04/2028 30,484 $3.29 All options vest on 01/01/2022
18/04/2018 18/04/2028 136,195(4) $3.29 Fully Vested
18/04/2018 18/04/2028 367,109 $3.29 (i) 26,315 options vest on 01/01/2022, (iii) 56,799 options vest on 01/04/2022, (iv) 283,995 options have vested
03/05/2018 03/05/2018 6,862,289(5) $3.29 Fully Vested
04/06/2019 04/06/2029 21,302 $4.70 All options vest on 03/01/2023
04/06/2019 04/06/2029 839,869(6) $4.70 Fully Vested
04/06/2019 04/06/2029 818,565 $4.70 (i) 69,989 options vest on 01/12/2021, (ii) 69,989 options vest on 01/03/2022, (iii) 69,989 options vest on 01/06/2022, (iv) 69,989 options vest on 01/09/2022, (v) 69,989 options vest on 01/12/2022, (vi) 48,686 options vest on 01/03/2023, (vii) 69,689 options vest on 01/06/2023, (viii) 349,945 options have vested
Matthew Kalish 10/02/2016 18/02/2025 187,787 $0.63 Fully Vested
24/03/2016 24/03/2026 115,424 $0.63 Fully Vested
03/05/2017 03/05/2017 354,097 $3.82 Fully Vested
18/04/2018 18/04/2028 584,498 $3.29 (i) 13,873 options vest on 01/01/2022, (ii) 13,872 options vest on 01/04/2022, (iii) 556,753 options have vested
03/05/2018 03/05/2018 1,511,843 $3.29 Fully Vested
04/06/2019 04/06/2029 707,254 $4.70 (i) 18,786 options vest on 01/12/2021, (ii) 18,787 options vest on 01/03/2022, (iii) 18,786 options vest on 01/06/2022, (iv) 18,786 options vest on 01/09/2022, (v) 18,786 options vest on 01/12/2022, (vi) 18,786 options vest on 01/03/2023, (vii) 18,786 options vest on 01/06/2023, (viii) 575,751 options have vested
Paul Liberman 10/02/2016 18/02/2025 420,951(7) $0.63 Fully Vested
24/03/2016 24/03/2026 838,655(8) $0.63 Fully Vested
03/05/2017 03/05/2017 302,046(9) $3.82 Fully Vested
18/04/2018 18/04/2028 33,929 $3.29 (i) 23,120 options vest on 01/01/2022, (ii) 7,364 options vest on 01/04/2022, (iii) 3,445 options have vested
18/04/2018 18/04/2028 83,525 $3.29 (i) 15,757 options vest on 01/04/2022, (ii) 67,768 options have vested
18/04/2018 18/04/2028 275,602(10) $3.29 Fully Vested
03/05/2018 03/05/2018 1,511,843 $3.29 Fully Vested
04/06/2019 04/06/2029 21,302 $4.70 (i) 18,786 options vest on 01/03/2023, (ii)

2,516 options vest on 01/06/2023
04/06/2019 04/06/2029 463,032(11) $4.70 Fully Vested
04/06/2019 04/06/2029 222,920 $4.70 (i) 18,786 options vest on 01/12/2021, (ii) 18,786 options vest on 01/03/2022, (iii) 18,786 options vest on 01/06/2022, (iv) 18,786 options vest on 01/09/2022, (v) 18,786 options vest on 01/12/2022, (vi) 16,270 options vest on 01/06/2023, (vii) 112,720 options have vested
Woodrow H. Levin 05/12/2019 05/12/2029 14,145(12) $7.10 (i) 884 options vest on 10/12/2021, (ii) 884 options vest on 01/03/2022, (iii) 884 options vest on 01/06/2022, (iv) 884 options vest on 01/09/2022, (v) 884 options vest on 01/12/2022, (vi) 884 options vest on 01/03/2023, (vii) 884 options vest on 01/06/2023, (viii) 884 options vest on 01/09/2023, (ix) 884 options vest on 01/12/2023, (x) 6,189 options have vested
Marni M. Walden 04/10/2018 04/10/2028 60,691 $4.13 Fully Vested
05/12/2019 05/12/2029 43,409 $4.72 Fully Vested

Notes

(1)   All 327,461 options are held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(2)   All 1,286,924 options are held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(3)   Includes 715,802 options held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(4)   All 136,195 options are held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(5)   All 6,862,289 options are held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(6)   All 839,869 options are held by a trust managed by Mr. Robins as the trustee for the benefit of Mr. Robins, Mr. Robins' spouse and their descendants.

(7)   Includes 353,764 options held by a trust managed by Mr. Liberman as the trustee for the benefit of himself.

(8)   Includes 484,416 options held by a trust managed by Mr. Liberman as the trustee for the benefit of himself.

(9)   Includes 261,160 options held by a trust managed by Mr. Liberman as the trustee for the benefit of himself.

(10) Includes 184,968 options held by a trust managed by Mr. Liberman as the trustee for the benefit of himself.

(11) Includes 56,361 options held by a trust managed by Mr. Liberman as the trustee for the benefit of himself.

(12) All 14,145 options are held by Mr. Levin's sister.

3(c) DraftKings Inc. restricted stock units (RSUs) held by the directors of DraftKings Inc. and their close relatives and related trusts

Name Grant Date Number of shares of Class A common stock issued on settlement of RSUs Vesting
Jason Robins 11/08/2020 185,396 The RSUs may vest based on performance criteria.
11/08/2020 127,460 The RSUs vest in equal instalments on 23/10/2021, 23/01/2022, 23/04/2022, 23/07/2022, 23/10/2022, 23/01/2023, 23/04/2023, 23/07/2023, 23/10/2023, 23/01/2024, 23/04/2024.
27/12/2020 3,000,000 The RSUs may vest based on performance criteria.
22/02/2021 93,586 The RSUs may vest based on performance criteria.
22/02/2021 81,888 The RSUs vest in equal instalments on 22/11/2021, 22/02/2022, 22/05/2022, 22/08/2022, 22/11/2022, 22/02/2023, 22/05/2023, 22/08/2023, 22/11/2023, 22/02/2024, 22/05/2024, 22/08/2024, 22/11/2024, 22/02/2025.
Harry Evans Sloan 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 284 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Matthew Kalish 11/08/2020 99,828 The RSUs may vest based on performance criteria.
11/08/2020 127,460 The RSUs vest in equal instalments on

23/102021, 23/01/2022, 23/04/2022, 23/07/2022, 23/10/2022, 23/01/2023, 23/04/2023, 23/07/2023, 23/10/2023, 23/01/2024, 23/04/2024.
27/12/2020 3,000,000 The RSUs may vest based on performance criteria.
22/02/2021 85,078 The RSUs may vest based on performance criteria.
22/02/2021 74,443 The RSUs vest in equal instalments on22/11/2021, 22/02/2022, 22/05/2022, 22/08/2022, 22/11/2022, 22/02/2023, 22/05/2023, 22/08/2023, 22/11/2023, 22/02/2024, 22/05/2024, 22/08/2024, 22/11/2024, 22/02/2025.
Paul Liberman 11/08/2020 99,828 The RSUs may vest based on performance criteria.
11/08/2020 127,460 The RSUs vest in equal instalments on

23/10/2021, 23/01/2022, 23/04/2022, 23/07/2022, 23/10/2022, 23/01/2023, 23/04/2023, 23/07/2023, 23/10/2023, 23/01/2024, 23/04/2024.
27/12/2020 3,000,000 The RSUs may vest based on performance criteria.
22/02/2021 85,078 The RSUs may vest based on performance criteria.
22/02/2021 74,443 The RSUs vest in equal instalments on 22/11/2021, 22/02/2022, 22/05/2022, 22/08/2022, 22/11/2022, 22/02/2023, 22/05/2023, 22/08/2023, 22/11/2023, 22/02/2024, 22/05/2024, 22/08/2024, 22/11/2024, 22/02/2025.
Woodrow H. Levin 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 258 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
12/08/2020 555(1) The RSUs may vest based on performance criteria.
12/08/2020 1,250(2) The RSUs vest in equal instalments on 12/11/2021, 12/02/2022, 12/05/2022, 12/08/2022, 12/11/2022, 12/02/2023, 12/05/2023, 12/08/2023, 12/11/2023, 12/02/2024, 12/05/2024, 12/08/2024.
25/01/2021 9,815(3) The RSUs may vest based on performance criteria.
24/02/2021 551(4) The RSUs may vest based on performance criteria.
24/02/2021 1,447(5) The RSUs vest in equal instalments on 24/11/2021, 24/02/2022, 24/05/2022, 24/08/2022, 24/11/2022, 24/02/2023, 24/05/2023, 24/08/2023, 24/11/2023, 24/02/2024, 24/05/2024, 24/08/2024, 24/02/2025.
Shalom Meckenzie 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 271 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Jocelyn Moore 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 322 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Ryan R. Moore 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 322 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Valerie Mosley 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 309 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Steven J. Murray 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 335 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Hany M. Nada 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 374 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
John S. Salter 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 284 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
Marni M. Walden 04/05/2021 3,563 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.
03/08/2021 284 The RSUs vest on the earlier of 04/05/2022 or the offeror's 2022 annual meeting of shareholders.

Notes

(1)   All 555 RSUs are held by Mr. Levin's sister.

(2)   All 1,250 RSUs are held by Mr. Levin's sister.

(3)   All 9,815 RSUs are held by Mr. Levin's sister.

(4)   All 551 RSUs are held by Mr. Levin's sister.

(5)   All 1,447 RSUs are held by Mr. Levin's sister.

3(d) Private warrants held by the directors of DraftKings Inc. and their close relatives and related trusts(1)

Name Expiry Date Number of Warrants Exercise Price
Jason Robins 23/05/2025 8,070(2) $11.50
Harry Evans Sloan 23/05/2025 929,099 $11.50
Matthew Kalish 23/05/2025 7,174(3) $11.50
Paul Liberman 23/05/2025 6,792(4) $11.50
Woodrow H. Levin 23/05/2025 1,983 $11.50
Ryan R. Moore 23/05/2025 63,450 $11.50
Steven J. Murray 23/05/2025 47,317 $11.50

Notes

(1)   Each warrant entitles the holder to purchase one share of the offeror's Class A common stock at an exercise price of $11.50 per share, subject to adjustment procedures.  The warrants became exercisable on 23 May 2020 and will expire on 23 April 2025, or earlier upon redemption or liquidation.

(2)   Includes (a) 4,335 warrants held by a trust managed by Mr. Robins and Mr. Robins' spouse for the benefit of Mr. Robins and his spouse and (b) 125 warrants held by a different trust managed by Mr. Robins and Mr. Robins' spouse for the benefit of Mr. Robins and his spouse.

(3)   Includes (a) 3,883 warrants held by a trust managed by an independent trustee for the benefit of Mr. Kalish, Mr. Kalish's father, Mr. Kalish's brother and Mr. Kalish's children, and (b) 40 warrants held by a trust managed by an independent trustee for the benefit of Mr. Kalish's descendants.

(4)   Includes (a) 2,818 warrants held by a trust managed by Mr. Liberman and Mr. Liberman's spouse as the trustees for the benefit of Mr. Liberman, (b) 3,698 warrants held by a trust managed by an independent trustee for the benefit of Mr. Liberman, Mr. Liberman's spouse, Mr. Liberman's children, Mr. Liberman's parents, Mr. Liberman's brother, Mr. Liberman's sister-in-law and Mr. Liberman's mother-in-law.

3(e) Interests in shares of DraftKings Inc. Class A common stock held by the advisers of DraftKings Inc.

Name Number of shares of Class A common stock held Percentage of shares of Class A common stock (%)
Raine Advisors LLC(1) 11,218,011(1) 2.766

Notes

(1)   All 11,218,011 shares are held by Raine Partners II LP.

3(f) DEAC private placement warrants held by the advisers of DraftKings Inc.(1)

Name Expiry date Number of Warrants Exercise price
Raine Advisors LLC(2) 23/05/2025 152,190 $11.50

Notes

(1)   Each warrant entitles the holder to purchase one share of the offeror's Class A common stock at an exercise price of $11.50 per share, subject to adjustment procedures.  The warrants became exercisable on 23 May 2020 and will expire on 23 April 2025, or earlier upon redemption or liquidation.

(2)   All 152,190 warrants are held by Raine Partners II LP.

Details of any open stock-settled derivative positions (including traded options), or agreements to purchase or sell relevant securities, should be given on a Supplemental Form 8 (Open Positions).

Details of any securities borrowing and lending positions or financial collateral arrangements should be disclosed on a Supplemental Form 8 (SBL).

4.         OTHER INFORMATION

(a)        Indemnity and other dealing 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 party to the offer making the disclosure or any person acting in concert with it:

Irrevocable commitments and letters of intent should not be included. If there are no such agreements, arrangements or understandings, state "none"
None.

(b)        Agreements, arrangements or understandings relating to options or derivatives

Details of any agreement, arrangement or understanding, formal or informal, between the party to the offer making the disclosure, or any person acting in concert with it, and any other person relating to:

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

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

If there are no such agreements, arrangements or understandings, state "none"
None.

(c)        Attachments

Are any Supplemental Forms attached?

Supplemental Form 8 (Open Positions) YES
Supplemental Form 8 (SBL) NO
###### Date of disclosure: 5 OCTOBER 2021
###### Contact name: Joe DeCristofaro, Investor Relations
###### Telephone number: +1 617 986 6744

Public disclosures under Rule 8 of the Code must be made to a Regulatory Information Service.

The Panel's Market Surveillance Unit is available for consultation in relation to the Code's disclosure requirements on +44 (0)20 7638 0129.

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.

SUPPLEMENTAL FORM 8 (OPEN POSITIONS)

DETAILS OF OPEN STOCK-SETTLED DERIVATIVE (INCLUDING OPTION) POSITIONS, AGREEMENTS TO PURCHASE OR SELL ETC.

Note 5(i) on Rule 8 of the Takeover Code (the "Code")

1.         KEY INFORMATION

Full name of person making disclosure: DRAFTKINGS INC.
Name of offeror/offeree in relation to whose relevant securities the disclosure relates: DRAFTKINGS INC.

2.         STOCK-SETTLED DERIVATIVES (INCLUDING OPTIONS)

Class of relevant security Product description e.g. call option Written or purchased Number of securities to which option or derivative relates Exercise price per unit Type

e.g. American, European etc.
Expiry date
Class A common stock, par value $0.0001 each Call option Written 2,319,460 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 347,919 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 2,319,460 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 347,919 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 1,159,730 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 173,959 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 4,638,920 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 695,838 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 1,159,730 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028
Class A common stock, par value $0.0001 each Call option Written 173,960 $94.8497 European The options may be exercised in components from 14 January 2028 to 13 March 2028

3.         AGREEMENTS TO PURCHASE OR SELL ETC.

Full details should be given so that the nature of the interest or position can be fully understood:
In March 2021, the offeror completed a private unregistered offering and issued zero-coupon convertible senior notes in an aggregate principal amount of $1,265,000,0000 (collectively the "Convertible Notes").  The Convertible Notes mature on March 15, 2028, subject to earlier conversion, redemption or repurchase.  The Convertible Notes are convertible into Class A common stock of the offeror under certain circumstances and during certain periods.

In connection with the issue of the Convertible Notes, the offeror entered into privately negotiated capped call options on 15 March 2021 (the "Base Capped Call Options") and 16 March 2021 (the "Additional Capped Call Options", and together with the Base Capped Call Options, the "Capped Call Options") with each of Morgan Stanley & Co. LLC, Credit Suisse Capital LLC, Goldman Sachs & Co. LLC, Bank of America, N.A. and Wells Fargo Bank, National Association. The exercise price of the Capped Call Options corresponds to the initial conversion price of the Convertible Notes. The Capped Call Options were entered into with the expectation that they will generally reduce potential dilution to the offeror's Class A common stock upon any conversion of Convertible Notes.

Pursuant to the Capped Call Options, a set number of options (a "component") will be exercised automatically on the expiration date of the relevant component, as set out in the documents for the Capped Call Options, if on such date the per share volume-weighted average share price exceeds the exercise price. The earliest expiration date for a component in respect of each Capped Call Option is 14 January 2028 and the latest expiration date is 13 March 2028, which may be postponed under the Capped Call Options to a date not later than 6 July 2028.  The Capped Call Options will be exercised on a net share settlement basis unless the offeror elects to exercise the options on a cash settlement basis.

The premium paid by the offeror in connection with the Capped Call Options was (i) $21,560,000 for the Base Capped Call Option with Bank of America, N.A. and $3,234,000 for the Additional Capped Call Option with Bank of America, N.A., (ii) $21,560,000 for the Base Capped Call Option with Credit Suisse Capital LLC and $3,234,000 for the Additional Capped Call Option with Credit Suisse Capital LLC, (iii) $10,780,000 for the Base Capped Call Option with Goldman Sachs & Co. LLC and $1,617,000 for the Additional Capped Call Option with Goldman Sachs & Co. LLC, (iv) $43,120,000 for the Base Capped Call Option with Morgan Stanley & Co. LLC and $6,468,000 for the Additional Capped Call Option with Morgan Stanley & Co. LLC, and (v) $10,780,000 for the Base Capped Call Option with Wells Fargo Bank, National Association and $1,617,000 for the Additional Capped Call Option with Wells Fargo Bank, National Association.

It is not necessary to provide details on a Supplemental Form (Open Positions) with regard to cash-settled derivatives.

The currency of all prices and other monetary amounts should be stated.

The Panel's Market Surveillance Unit is available for consultation in relation to the Code's disclosure requirements on +44 (0)20 7638 0129.

The Code can be viewed on the Panel's website at www.thetakeoverpanel.org.uk.

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