17 Mar 2006 17:27
Catlin Group Limited17 March 2006 SCHEDULE 10 NOTIFICATION OF MAJOR INTERESTS IN SHARES 1. Name of company CATLIN GROUP LIMITED ............................................................... 2. Name of shareholder having a major interest BARCLAYS PLC 3. Please state whether notification indicates that it is in respect of holdingof the shareholder named in 2 above or in respect of a non-beneficial interestor in the case of an individual holder if it is a holding of that person'sspouse or children under the age of 18 HOLDINGS IN RESPECT OF BARCLAYS GLOBAL INVESTORS LTD, GERRARD LTD, BARCLAYSGLOBAL INVESTORS JAPAN LTD, BARCLAYS CAPITAL SECURITIES LTD, BARCLAYS BANK PLC,BARCLAYS GLOBAL INVESTORS, N.A., WOOLWICH UNIT TRUST MANAGERS LTD, BARCLAYSPRIVATE BANK AND TRUST LTD, BARCLAYS LIFE ASSURANCE CO LTD, BARCLAYS GLOBALINVESTORS AUSTRALIA LTD. 4. Name of the registered holder(s) and, if more than one holder, the number ofshares held by each of them Registered Holder Account Designation Holding BANK OF IRELAND 258227 73,201BANK OF IRELAND 4239749 121,011BANK OF IRELAND 427057 3,722Bank of Ireland Nominees CREST ID. 11X13 667,220LimitedBank of Ireland Nominees CREST ID. 11X13 167,000LimitedBANK OF NEW YORK 210405 83,652BANK OF NEW YORK 214074 2,585BANK OF NEW YORK 214075 570,885BANK OF NEW YORK 221428 75,878BANK OF NEW YORK 367748 291,809BANK OF NEW YORK 367993 183,374BANK OF NEW YORK 392067 317,615BANK OF NEW YORK 392498 201,464BANK OF NEW YORK 768198 30,126BARCLAYS CAPITAL NOMINEES 572,070LIMITEDBNP PARIBAS 46,790BNY (OCS) NOMINEES LTD 221476 46,339BNY (OCS) NOMINEES LTD 387173 108,005BOISS NOMINEES LTD 4224361 68,066CHASE NOMINEES LTD 16376 57,350CHASE NOMINEES LTD 16530 38,499CHASE NOMINEES LTD 16669 17,186CHASE NOMINEES LTD 18243 14,994CHASE NOMINEES LTD 19518 17,168CHASE NOMINEES LTD 19519 224,284CHASE NOMINEES LTD 19520 10,763CHASE NOMINEES LTD 20947 6,800,207CHASE NOMINEES LTD 21359 274,652CHASE NOMINEES LTD 25772 84,970CHASE NOMINEES LTD 27793 7,856CHASE NOMINEES LTD 27800 107,299CHASE NOMINEES LTD 28270 96,596CHASE NOMINEES LTD 28270 38,311CHASE NOMINEES LTD 31961 152,122CIBC MELLON GLOBAL SECURITIES 32,261CITIBANK 6010640794 30,505CITIBANK 6010782807 53,060Clydesdale Nominees HGB0125 120130701 5,000HSBC 813168 148,647HSBC 845315 3,262INVESTORS BANK AND TRUST CO. 670,773INVESTORS BANK AND TRUST CO. 1,639,588INVESTORS BANK AND TRUST CO. 119,645INVESTORS BANK AND TRUST CO. 2,455INVESTORS BANK AND TRUST CO. 51,319INVESTORS BANK AND TRUST CO. 4,880INVESTORS BANK AND TRUST CO. 149,581JP MORGAN (BGI CUSTODY) 16331 22,551JP MORGAN (BGI CUSTODY) 16341 65,814JP MORGAN (BGI CUSTODY) 16341 192,090JP MORGAN (BGI CUSTODY) 16344 70,365JP MORGAN (BGI CUSTODY) 16345 106,741JP MORGAN (BGI CUSTODY) 16400 1,186,889JP MORGAN (BGI CUSTODY) 16612 35,711JP MORGAN (BGI CUSTODY) 16621 15,767JP MORGAN (BGI CUSTODY) 16901 8,429JP MORGAN (BGI CUSTODY) 18409 91,181JP MORGAN (BGI CUSTODY) 19514 12,657JP MORGAN (BGI CUSTODY) 28166 270,920JP MORGAN (BGI CUSTODY) 29514 108,292JPMORGAN CHASE BANK 265,931JPMorgan Chase Bank 44,772JPMorgan Chase Bank 55,703JPMorgan Chase Bank 28,914MELLON BANK ABGFZ872482 355,770MELLON BANK TGGF0003002 35,636Mellon Trust - US CUSTODIAN / 77,110MELLON TRUST OF NEW ENGLAND 77,438MIDLAND BANK (HSBC BANK PLC) 772823 293,334NORTHERN TRUST CVS21 170,211NORTHERN TRUST SCO06 37,023NORTHERN TRUST TNF01 48,226NORTHERN TRUST TRG01 6,969NORTHERN TRUST UKE01 63,503NORTHERN TRUST USF12 300,355NORTHERN TRUST BANK - BGI SEPA 104,550NORTHERN TRUST BANK - BGI SEPA 26,483NORTHERN TRUST BANK - BGI SEPA 113,141R C Greig Nominees Limited 1,600R C Greig Nominees Limited a/c 2,000AK1STATE STREET 2RJ2 12,587STATE STREET JD12 57,735STATE STREET JFBL 71,977STATE STREET N3B6 40,843STATE STREET N3YZ 4,314STATE STREET BANK & TRUST - WI 80,438STATE STREET TRUST OF CANADA - 73,343The Northern Trust Company - U 52,505 TOTAL 19,173,863 5. Number of shares / amount of stock acquired N/A 6. Percentage of issued class N/A 7. Number of shares / amount of stock disposed 30,801 8. Percentage of issued class 0.02% 9. Class of security COMMON SHARES OF $0.01 EACH 10. Date of transaction HOLDINGS ARE AS AT 14 MARCH 2006. "SHARES DISPOSED" IS DECREASE SINCE PREVIOUS DISCLOSURE 11. Date company informed 17 MARCH 2006 12. Total holding following this notification 19,173,863 13. Total percentage holding of issued class following this notification 11.72% 14. Any additional information ON 15 MARCH 2006 CATLIN ANNOUNCED ISSUED SHARES ARE NOW 163,623,498 (AN INCREASEOF 7,708,882 SINCE THE PREVIOUS DISCLOSURE AS AT 31 DECEMBER 2005). ............................................................... 15. Name of contact and telephone number for queries WILLIAM SPURGIN 0207 458 5726 16. Name and signature of authorised company official responsible for makingthis notification WILLIAM SPURGIN, HEAD OF INVESTOR RELATIONS Date of notification 17 MARCH 2006 The FSA does not give any express or implied warranty as to the accuracy of thisdocument or material and does not accept any liability for error or omission.The FSA is not liable for any damages (including, without limitation, damagesfor loss of business or loss of profits) arising in contract, tort or otherwisefrom the use of or inability to use this document, or any material contained init, or from any action or decision taken as a result of using this document orany such material. This information is provided by RNS The company news service from the London Stock Exchange