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Pin to quick picksGlobal Ports Regulatory News (GPH)

Share Price Information for Global Ports (GPH)

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Share Price: 200.50
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Mid-Stabilisation Period Announcement

12 Jun 2017 07:00

RNS Number : 7417H
Barclays Capital Securities Limited
12 June 2017
 

12 June 2017

Not for distribution, directly or indirectly, in or into the United States or any jurisdiction in which such distribution would be unlawful.

Global Ports Holding PLC

Mid-Stabilisation Period Announcement

Further to the pre-stabilisation period announcement dated 12 May 2017, Barclays Bank PLC ('Barclays') (Ben West; telephone: +44 20 7773 9531) hereby gives notice that the Stabilisation Manager(s) named below undertook stabilisation (within the meaning of Article 3.2(d) of the Market Abuse Regulation (Regulation (EU) No /596/2014) and of the rules of the Financial Conduct Authority) in relation to the offer of the following securities, as set out below.

 

The securities:

Issuer:

Global Ports Holding PLC

Aggregate nominal amount/Offering size:

20,871,902 Ordinary Shares (excluding the over-allotment option)

Description:

Ordinary shares in Global Ports Holding PLC with a nominal value of £5.00 each. ISIN GB00BD2ZT390

Offer price:

 740p

Stabilisation:

Stabilisation Manager(s):

Barclays Capital Securities Limited, 5 The North Colonnade, Canary Wharf, London, E14 4BB, United Kingdom

Stabilisation Trading Venue(s):

London Stock Exchange

Stabilisation transactions:

Trade Date (dd/mm/yyyy)

Trade Time (GMT)

Quantity

Price

Currency

Stabilisation Venue

06/06/2017

07:40:38

157

726.00

GBp

London Stock Exchange

06/06/2017

12:17:00

74,843

726.00

GBp

London Stock Exchange

06/06/2017

13:30:05

52

722.00

GBp

London Stock Exchange

06/06/2017

14:16:41

1,582

722.00

GBp

London Stock Exchange

06/06/2017

15:28:05

172

722.00

GBp

London Stock Exchange

06/06/2017

15:28:45

64

722.00

GBp

London Stock Exchange

06/06/2017

15:29:24

20

722.00

GBp

London Stock Exchange

06/06/2017

15:29:45

35

722.00

GBp

London Stock Exchange

06/06/2017

15:35:11

157

722.00

GBp

London Stock Exchange

07/06/2017

09:09:05

6,017

722.00

GBp

London Stock Exchange

07/06/2017

09:09:05

77

722.00

GBp

London Stock Exchange

07/06/2017

09:09:09

73

722.00

GBp

London Stock Exchange

07/06/2017

09:09:31

74

722.00

GBp

London Stock Exchange

07/06/2017

09:31:02

5,162

722.00

GBp

London Stock Exchange

07/06/2017

09:31:02

54

722.00

GBp

London Stock Exchange

07/06/2017

09:31:03

74

722.00

GBp

London Stock Exchange

07/06/2017

10:01:07

5,000

722.00

GBp

London Stock Exchange

07/06/2017

10:01:07

54

722.00

GBp

London Stock Exchange

07/06/2017

11:02:05

18

722.00

GBp

London Stock Exchange

07/06/2017

11:02:05

19

722.00

GBp

London Stock Exchange

07/06/2017

11:14:13

219

722.00

GBp

London Stock Exchange

07/06/2017

12:04:51

1,013

722.00

GBp

London Stock Exchange

07/06/2017

13:59:10

675

722.00

GBp

London Stock Exchange

07/06/2017

15:28:18

239

722.00

GBp

London Stock Exchange

07/06/2017

15:28:38

15

722.00

GBp

London Stock Exchange

07/06/2017

15:29:47

1,064

722.00

GBp

London Stock Exchange

07/06/2017

15:29:47

55

722.00

GBp

London Stock Exchange

07/06/2017

15:29:47

24

722.00

GBp

London Stock Exchange

08/06/2017

07:00:19

107

722.00

GBp

London Stock Exchange

08/06/2017

07:03:19

16

722.00

GBp

London Stock Exchange

08/06/2017

07:05:07

15

722.00

GBp

London Stock Exchange

08/06/2017

07:06:19

16

722.00

GBp

London Stock Exchange

08/06/2017

07:08:07

15

722.00

GBp

London Stock Exchange

08/06/2017

07:09:55

15

722.00

GBp

London Stock Exchange

08/06/2017

07:11:07

15

722.00

GBp

London Stock Exchange

08/06/2017

07:12:55

16

722.00

GBp

London Stock Exchange

08/06/2017

07:14:07

16

722.00

GBp

London Stock Exchange

08/06/2017

07:15:55

16

722.00

GBp

London Stock Exchange

08/06/2017

07:17:07

15

722.00

GBp

London Stock Exchange

08/06/2017

07:18:19

16

722.00

GBp

London Stock Exchange

08/06/2017

07:20:07

14

722.00

GBp

London Stock Exchange

08/06/2017

07:21:19

17

722.00

GBp

London Stock Exchange

08/06/2017

07:22:31

16

722.00

GBp

London Stock Exchange

08/06/2017

07:24:19

16

722.00

GBp

London Stock Exchange

08/06/2017

07:25:31

17

722.00

GBp

London Stock Exchange

08/06/2017

07:26:43

16

722.00

GBp

London Stock Exchange

08/06/2017

07:28:31

17

722.00

GBp

London Stock Exchange

08/06/2017

07:29:43

21

722.00

GBp

London Stock Exchange

08/06/2017

07:31:31

21

722.00

GBp

London Stock Exchange

08/06/2017

07:33:19

20

722.00

GBp

London Stock Exchange

08/06/2017

07:34:31

20

722.00

GBp

London Stock Exchange

08/06/2017

07:35:43

23

722.00

GBp

London Stock Exchange

08/06/2017

07:52:44

760

722.00

GBp

London Stock Exchange

08/06/2017

07:52:44

196

722.00

GBp

London Stock Exchange

08/06/2017

07:55:04

30

722.00

GBp

London Stock Exchange

08/06/2017

07:55:40

31

722.00

GBp

London Stock Exchange

08/06/2017

09:01:53

1,364

722.00

GBp

London Stock Exchange

08/06/2017

09:01:53

45

722.00

GBp

London Stock Exchange

08/06/2017

09:01:53

455

722.00

GBp

London Stock Exchange

08/06/2017

09:50:41

2,030

722.00

GBp

London Stock Exchange

08/06/2017

09:50:41

691

722.00

GBp

London Stock Exchange

08/06/2017

09:50:41

231

722.00

GBp

London Stock Exchange

08/06/2017

10:03:33

4

722.00

GBp

London Stock Exchange

08/06/2017

10:03:33

195

722.00

GBp

London Stock Exchange

08/06/2017

10:08:12

6,671

722.00

GBp

London Stock Exchange

08/06/2017

10:08:12

105

722.00

GBp

London Stock Exchange

08/06/2017

10:17:12

4,136

722.00

GBp

London Stock Exchange

08/06/2017

10:24:07

1,324

722.00

GBp

London Stock Exchange

08/06/2017

11:02:18

38

722.00

GBp

London Stock Exchange

08/06/2017

13:59:58

1,813

722.00

GBp

London Stock Exchange

08/06/2017

14:31:44

500

722.00

GBp

London Stock Exchange

08/06/2017

15:03:46

1,429

722.00

GBp

London Stock Exchange

08/06/2017

15:27:59

157

722.00

GBp

London Stock Exchange

08/06/2017

15:28:19

19

722.00

GBp

London Stock Exchange

08/06/2017

15:28:39

38

722.00

GBp

London Stock Exchange

09/06/2017

07:13:49

675

722.00

GBp

London Stock Exchange

09/06/2017

08:20:24

1,351

722.00

GBp

London Stock Exchange

09/06/2017

08:38:42

38

722.00

GBp

London Stock Exchange

09/06/2017

08:47:00

2,971

722.00

GBp

London Stock Exchange

09/06/2017

08:47:00

28

722.00

GBp

London Stock Exchange

09/06/2017

09:10:14

135

722.00

GBp

London Stock Exchange

09/06/2017

09:33:22

62

722.00

GBp

London Stock Exchange

09/06/2017

09:44:51

1,005

722.00

GBp

London Stock Exchange

09/06/2017

09:44:51

5

722.00

GBp

London Stock Exchange

09/06/2017

10:54:00

675

722.00

GBp

London Stock Exchange

09/06/2017

11:02:13

7

722.00

GBp

London Stock Exchange

09/06/2017

11:46:49

8,048

722.00

GBp

London Stock Exchange

09/06/2017

11:47:42

93

720.00

GBp

London Stock Exchange

09/06/2017

11:49:35

1,148

720.00

GBp

London Stock Exchange

09/06/2017

14:50:44

135

720.00

GBp

London Stock Exchange

09/06/2017

14:50:56

21,452

720.00

GBp

London Stock Exchange

09/06/2017

15:29:12

18

720.00

GBp

London Stock Exchange

09/06/2017

15:29:32

13

720.00

GBp

London Stock Exchange

This announcement is for information purposes only and does not constitute an invitation or offer to underwrite, subscribe for or otherwise acquire or dispose of any securities of the Issuer in any jurisdiction.

This announcement is not an offer of securities for sale into the United States. The securities have not been, and will not be, registered under the United States Securities Act of 1933, as amended (the 'Securities Act'), or under the securities laws of any state or other jurisdiction of the United States. Accordingly, the securities referred to herein may not be offered, sold, taken up, exercised, resold, renounced, transferred or delivered, directly or indirectly, in or into, the United States absent registration under, or pursuant to an exemption from, the registration requirements of the Securities Act and in compliance with any relevant state securities laws. There will be no public offer of securities in the United States.

Barclays is authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and Prudential Regulation Authority, is acting for the Issuer only in connection with the offer and will not be responsible to anyone other than the Issuer for providing the protections offered to clients of Barclays, nor for providing advice in relation to the offer or any matters referred to in this communication.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
STAZMGMVLMGGNZM
Date   Source Headline
5th Apr 20247:00 amEQSAwarded preferred bidder status for Casablanca Cruise Port
3rd Apr 20247:00 amEQS50-year agreement signed for Liverpool Cruise Port
28th Mar 20246:52 pmEQSHolding(s) in Company
28th Mar 20244:18 pmEQSHolding(s) in Company
25th Mar 20247:00 amEQSExercise of Warrants
15th Feb 20247:00 amEQSCompletes project financing and begins cruise operations at San Juan Cruise Port, Puerto Rico
19th Dec 20237:04 amEQSInterim Results for the six months to 30 September 2023
7th Dec 20232:39 pmEQSGlobal Ports Holding Plc Celebrates Sustainability Milestone as Valletta Cruise Port Successfully Implements Shore Power
10th Nov 20237:00 amEQSTrading Statement for the six months to 30 September 2023
25th Oct 20234:26 pmEQSSales and Renunciation of Ordinary Shares awarded under the LTIP
29th Sep 20237:00 amEQSPrivate placement of secured notes and investment grade credit rating
6th Sep 202312:00 pmEQSSigns 10-year agreement for Bremerhaven Cruise Port, Germany
31st Aug 20231:08 pmEQSResult of AGM
18th Aug 202311:06 amEQSIssue of new Ordinary Shares under the LTIP
18th Aug 20237:00 amEQSTrading Statement for the three months to 30 June 2023
9th Aug 20237:12 amEQSSigns 30-year concession agreement for Saint Lucia Cruise Port
31st Jul 20233:55 pmEQSTotal Voting Rights
26th Jul 20232:08 pmEQSHolding(s) in Company
20th Jul 20233:28 pmEQS2023 Annual Report and Notice of Annual General Meeting
14th Jul 20237:00 amEQSIssue of New Ordinary Shares
12th Jul 20233:59 pmEQSPublication of Annual Report and Accounts
10th Jul 20237:02 amEQSPreliminary results for the twelve months ended 31 March 2023
15th May 20237:03 amEQSTrading statement for the twelve months ended 31 March 2023
18th Apr 20237:00 amEQSGlobal Ports Holding PLC: Fiscal Year 2024 cruise passenger volumes and historic financials for new geographic segmental reporting
13th Mar 20237:00 amEQSTrading Statement for the nine months to 31 December 2022
9th Mar 20237:00 amEQSSigns concessions agreement for Alicante Cruise Port
13th Jan 20238:00 amEQSGroup Strategic Review
13th Jan 20237:00 amEQSGroup Strategic Review
16th Dec 20228:00 amEQSAwarded preferred bidder status for Alicante Cruise Port
16th Dec 20227:00 amEQSAwarded preferred bidder status for Alicante Cruise Port
13th Dec 20228:00 amEQSInterim Results for six months to 30 September 2022
13th Dec 20227:02 amEQSInterim Results for six months to 30 September 2022
14th Nov 20228:00 amEQSSigns First North American Cruise Port Concession
14th Nov 20227:00 amEQSSigns First North American Cruise Port Concession
10th Nov 20228:09 amEQSTrading Statement for the six months to 30 September 2022
10th Nov 20227:09 amEQSTrading Statement for the six months to 30 September 2022
9th Nov 202210:02 amEQSHolding(s) in Company*
9th Nov 20229:02 amEQSHolding(s) in Company*
21st Oct 20222:00 pmEQSMemorandum of Understanding signed with the Government of St Lucia
21st Oct 20222:00 pmEQSMemorandum of Understanding signed with the Government of St Lucia
17th Oct 20227:00 amEQS2023 cruise call reservations and passenger volumes
17th Oct 20227:00 amEQS2023 cruise call reservations and passenger volumes
27th Sep 20223:45 pmEQSHolding(s) in Company
27th Sep 20223:44 pmEQSHolding(s) in Company
21st Sep 20222:22 pmEQSHolding(s) in Company
21st Sep 20222:21 pmEQSHolding(s) in Company
20th Sep 20222:44 pmEQSResult of AGM
20th Sep 20222:43 pmEQSResult of AGM
19th Aug 20227:00 amEQSTrading Statement for the three months to 30 June 2022
19th Aug 20227:00 amEQSTrading Statement for the three months to 30 June 2022

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