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Disclosure Table

27 Jan 2026 14:05

RNS Number : 5923Q
Takeover Panel
27 January 2026
 

THE TAKEOVER PANEL - DISCLOSURE TABLE

 

27 January 2026

 

The following are today's changes to the Disclosure Table:

 

ADDITIONS

 

None

 

DELETIONS

 

OFFEREE: Revel Collective plc, The

Offer period commenced: 07:00 24-Oct-2025

0.1p ordinary

ISIN: GB00BVDPPV41

NSI: 1,501,925,226

OFFEROR: No named offeror

 

OTHER AMENDMENTS

 

OFFEREE: Empiric Student Property plc

Offer period commenced: 11:15 05-Jun-2025

1p ordinary

ISIN: GB00BLWDVR75

NSI: 664,188,110

OFFEROR: Unite Group plc, The

Offeror identified: 11:15 05-Jun-2025

Rule 2.6 deadline: N/A

25p ordinary

ISIN: GB0006928617

NSI: 488,258,162

 

DISCLOSURE TABLE

 

OFFEREE: 1Spatial plc

Offer period commenced: 07:00 12-Dec-2025

10p ordinary

ISIN: GB00BFZ45C84

NSI: 111,860,753

OFFEROR: VertiGIS Ltd (a portfolio company of Battery Ventures)

Offeror identified: 07:00 12-Dec-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Aferian plc

Offer period commenced: 10:04 29-Sep-2025

1p ordinary

ISIN: GB00B013SN63

NSI: 111,212,107

OFFEROR: No named offeror

 

OFFEREE: Auction Technology Group plc

Offer period commenced: 07:00 05-Jan-2026

0.01p ordinary

ISIN: GB00BMVQDZ64

NSI: 121,108,423

OFFEROR: FitzWalter Capital Limited

Offeror identified: 07:00 05-Jan-2026

Rule 2.6 deadline: 17:00 02-Feb-2026

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Audioboom Group plc

Offer period commenced: 17:09 03-Oct-2025

Ordinary NPV

ISIN: JE00BJYJFG60

NSI: 17,984,655

OFFEROR: No named offeror

 

OFFEREE: Beazley plc

Offer period commenced: 12:55 19-Jan-2026

5p ordinary

ISIN: GB00BYQ0JC66

NSI: 599,509,906

OFFEROR: Zurich Insurance Group Ltd

Offeror identified: 12:55 19-Jan-2026

Rule 2.6 deadline: 17:00 16-Feb-2026

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Bluefield Solar Income Fund Limited

Offer period commenced: 07:00 05-Nov-2025

0.01p ordinary

ISIN: GG00BB0RDB98

NSI: 592,080,033

OFFEROR: No named offeror

 

OFFEREE: Deltic Energy plc

Offer period commenced: 12:07 30-Jun-2025

10p ordinary

ISIN: GB00BNTY2N01

NSI: 93,096,600

OFFEROR: Rockrose Energy Limited (a wholly-owned subsidiary of Viaro Energy Limited)

Offeror identified: 12:07 30-Jun-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Dowlais Group plc

Offer period commenced: 07:00 29-Jan-2025

1p ordinary

ISIN: GB00BMWRZ071

NSI: 1,316,658,644

OFFEROR: Dauch Corporation

Offeror identified: 07:00 29-Jan-2025

Rule 2.6 deadline: N/A

USD 0.01 common

ISIN: US0240611030

NSI: 118,696,421

 

OFFEREE: Empiric Student Property plc

Offer period commenced: 11:15 05-Jun-2025

1p ordinary

ISIN: GB00BLWDVR75

NSI: 664,188,110

OFFEROR: Unite Group plc, The

Offeror identified: 11:15 05-Jun-2025

Rule 2.6 deadline: N/A

25p ordinary

ISIN: GB0006928617

NSI: 488,258,162

 

OFFEREE: essensys plc

Offer period commenced: 07:00 28-Nov-2025

0.25p ordinary

ISIN: GB00BJL1ZF49

NSI: 64,811,336

OFFEROR: Mr Mark Furness

Offeror identified: 07:00 28-Nov-2025

Rule 2.6 deadline: 17:00 20-Feb-2026

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: First Class Metals plc

Offer period commenced: 07:32 19-Dec-2025

0.1p ordinary

ISIN: GB00BPJGTF16

NSI: 244,889,548

Convertible Loan Note

 

GBP: 332,500

OFFEROR: No named offeror

 

OFFEREE: Frenkel Topping Group plc

Offer period commenced: 11:00 02-Jun-2025

0.5p ordinary

ISIN: GB00B01YXQ71

NSI: 128,013,064

OFFEROR: Irwell Financial Services Bidco Limited (a newly formed company indirectly owned by a limited partnership managed by Harwood Private Equity LLP)

Offeror identified: 11:00 02-Jun-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Glencore plc

Offer period commenced: 20:03 08-Jan-2026

Ordinary NPV

ISIN: JE00B4T3BW64

NSI: 11,743,755,559

OFFEROR: Rio Tinto plc and Rio Tinto Limited

Offeror identified: 20:03 08-Jan-2026

Rule 2.6 deadline: 17:00 05-Feb-2026

Rio Tinto plc 10p ordinary

ISIN: GB0007188757

NSI: 1,254,292,412

Rio Tinto plc ADR

ISIN: US7672041008

 

Rio Tinto Limited ordinary

ISIN: AU000000RIO1

NSI: 371,216,214

 

OFFEREE: Idox plc

Offer period commenced: 07:00 28-Oct-2025

1p ordinary

ISIN: GB0002998192

NSI: 461,682,046

OFFEROR: Frankel UK Bidco Limited (a newly-formed company indirectly owned by Long Path Co-Investment Fund Number 6, LP, Long Path Smaller Companies Fund, LP, Long Path Smaller Companies Master Fund, Ltd. and Long Path Opportunities Fund II, LP)

Offeror identified: 07:00 28-Oct-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Inspecs Group plc

Offer period commenced: 16:32 23-Oct-2025

1p ordinary

ISIN: GB00BK6JPP03

NSI: 101,671,525

OFFEROR: Bidco 1125 Limited (a newly formed company indirectly owned by Luke Johnson and Ian Livingstone)

Offeror identified: 16:32 23-Oct-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: International Personal Finance plc

Offer period commenced: 07:01 30-Jul-2025

10p ordinary

ISIN: GB00B1YKG049

NSI: 219,832,047

OFFEROR: IPF Parent Holdings Limited (a newly formed company in the same group as BasePoint Capital LLC)

Offeror identified: 07:01 30-Jul-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: IQE plc

Offer period commenced: 07:00 08-Sep-2025

1p ordinary

ISIN: GB0009619924

NSI: 978,259,501

OFFEROR: No named offeror

 

OFFEREE: JTC plc

Offer period commenced: 11:39 29-Aug-2025

1p ordinary

ISIN: JE00BF4X3P53

NSI: 172,386,504

OFFEROR: Papilio Bidco Limited (a newly incorporated company indirectly wholly-owned by funds advised by Permira Advisers LLP)

Offeror identified: 11:39 29-Aug-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Just Group plc

Offer period commenced: 07:00 31-Jul-2025

10p ordinary

ISIN: GB00BCRX1J15

NSI: 1,038,702,932

OFFEROR: BWS Holdings Ltd. (a wholly owned subsidiary of Brookfield Wealth Solutions Ltd.)

Offeror identified: 07:00 31-Jul-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Kitwave Group plc

Offer period commenced: 07:00 22-Jan-2026

1p ordinary

ISIN: GB00BNYKB709

NSI: 83,736,538

OFFEROR: Kite UK Bidco Limited (a newly-incorporated company indirectly wholly-owned by funds managed or advised by OEP Capital Advisors, L.P.)

Offeror identified: 07:00 22-Jan-2026

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Kore Potash plc

Offer period commenced: 07:30 04-Nov-2025

USD 0.001 ordinary

ISIN: GB00BYP2QJ94

NSI: 5,175,938,315

CDI

ISIN: AU000000KP25

 

OFFEROR: No named offeror

 

OFFEREE: Management Consulting Group plc (See Note 9 below)

Offer period commenced: 16:44 14-Nov-2025

1p ordinary

ISIN: GB0001979029

NSI: 1,516,528,424

0.01p preference (A)

ISIN: GB00BMC7BY33

NSI: 1,945,319,013

0.01p preference (B)

ISIN: GB00BN2S8316

NSI: 3,461,847,437

0.01p preference (C)

ISIN: GB00BP6WH811

NSI: 12,499,900,477

OFFEROR: No named offeror

 

OFFEREE: NCC Group plc

Offer period commenced: 18:24 16-Jul-2025

1p ordinary

ISIN: GB00B01QGK86

NSI: 315,227,905

OFFEROR: No named offeror

 

OFFEREE: Oxford Biomedica plc

Offer period commenced: 16:09 14-Jan-2026

50p ordinary

ISIN: GB00BDFBVT43

NSI: 120,819,102

OFFEROR: EQT X EUR SCSp and EQT X USD SCSp each represented by its manager, EQT Fund Management S.a.r.l.

Offeror identified: 16:49 14-Jan-2026

Rule 2.6 deadline: 17:00 11-Feb-2026

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Picton Property Income Limited

Offer period commenced: 07:00 13-Jan-2026

Ordinary NPV

ISIN: GB00B0LCW208

NSI: 513,827,021

OFFEROR: No named offeror

 

OFFEREE: PPHE Hotel Group Limited

Offer period commenced: 07:00 14-Nov-2025

Ordinary NPV

ISIN: GG00B1Z5FH87

NSI: 41,856,324

OFFEROR: No named offeror

 

OFFEREE: SolGold plc

Offer period commenced: 14:23 28-Nov-2025

1p ordinary

ISIN: GB00B0WD0R35

NSI: 3,013,831,141

OFFEROR: Jiangxi Copper (Hong Kong) Investment Company Limited

Offeror identified: 14:23 28-Nov-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Spire Healthcare Group plc

Offer period commenced: 19:36 18-Sep-2025

1p ordinary

ISIN: GB00BNLPYF73

NSI: 402,759,599

OFFEROR: Bridgepoint Advisers Limited

Offeror identified: 15:18 24-Jan-2026

Rule 2.6 deadline: 17:00 21-Feb-2026

Disclosure of dealings and positions in this offeror is not required

OFFEROR: Triton Investment Advisers LLP

Offeror identified: 15:18 24-Jan-2026

Rule 2.6 deadline: 17:00 21-Feb-2026

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: Walker Crips Group plc

Offer period commenced: 07:00 24-Nov-2025

6 2/3p ordinary

ISIN: GB00B1YMRV88

NSI: 42,577,328

OFFEROR: PhillipCapital UK LTD (an indirect wholly-owned subsidiary of Phillip Brokerage Pte Ltd)

Offeror identified: 07:00 24-Nov-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

OFFEREE: WH Ireland Group plc

Offer period commenced: 21:17 12-Nov-2025

1p ordinary

ISIN: GB0009241885

NSI: 235,986,209

OFFEROR: Team plc

Offeror identified: 21:17 12-Nov-2025

Rule 2.6 deadline: N/A

Ordinary NPV

ISIN: JE00BM90BX45

NSI: 62,340,022

 

OFFEREE: Wood Group (John) plc

Offer period commenced: 14:31 24-Feb-2025

4 2/7 p ordinary

ISIN: GB00B5N0P849

NSI: 691,839,369

OFFEROR: Sidara Limited (an entity controlled by Dar Al-Handasah Consultants Shair and Partners Holdings Ltd)

Offeror identified: 14:31 24-Feb-2025

Rule 2.6 deadline: N/A

Disclosure of dealings and positions in this offeror is not required

 

Notes:

 

1.

Rule 8 of the Takeover Code (the "Code") sets out the circumstances in which Dealing Disclosures and/or Opening Position Disclosures are required to be made by the parties to an offer, persons acting in concert with them, persons with an interest in relevant securities of 1% or more and exempt principal traders ("EPTs") connected with the parties to an offer.

2.

Where an offeror is marked "Disclosure of dealings and positions in this offeror is not required", dealings and positions in relevant securities of that offeror are not required to be disclosed under Rule 8. This is either because it has been announced that the offer or possible offer is, or is likely to be, solely in cash or because disclosure is not required for some other reason.

3.

Dealings and positions required to be disclosed under Rule 8 of the Code include dealings and positions in derivatives referenced to, and options in respect of, relevant securities of an offeree company and, where appropriate, an offeror (see Note 2 above).

4.

The information set out in the Disclosure Table relating to the relevant securities in issue of an offeree company or of an offeror (and any amendments thereto) has been extracted from the relevant announcement made by such company under Rule 2.9 of the Code. Similarly, details of any deadline set under Rule 2.6 by which a potential offeror must announce either a firm intention to make a bid or that it does not intend to make an offer (or, in the case of Rule 2.6(a), by which the Panel must consent to an extension of the deadline) has been extracted from the relevant announcement made by the offeree company.

5.

Additions and deletions of offeree companies and offerors are reflected in the Disclosure Table throughout the day, following the relevant announcement. Other amendments may also be made throughout the day. In any event, details of the classes of relevant securities issued by an offeree or offeror company, the number of such securities in issue ("NSI") and the International Securities Identification Number ("ISIN") of such securities announced under Rule 2.9 of the Code before 5.00 pm each day will be included in the final version of the Disclosure Table by 5.30 pm that day. The final version of the Disclosure Table issued each day will be marked "Final" and persons required to make Dealing Disclosures and Opening Position Disclosures are advised to use that final version. Any changes to the Rule 2.6 deadline of a potential offeror will also be reflected in the "Final" version of the Disclosure Table, although any such changes will not be shown in the "Amendments" section at the top of the Disclosure Table.

6.

Dealing Disclosures by the parties to an offer, persons acting in concert with them and connected EPTs must be made by no later than 12 noon on the business day (as defined in the Code) following the date of the relevant dealing and Dealing Disclosures by persons with an interest in relevant securities of 1% or more must be made by 3.30 pm on the business day following the date of the relevant dealing.

7.

Opening Position Disclosures by the parties to an offer and by connected EPTs must be made by no later than 12 noon on the 10th business day after the commencement of the offer period or the announcement that first identifies an offeror (as the case may be). Where required, Opening Position Disclosures by persons with interests in relevant securities of 1% or more must be made by no later than 3.30 pm on the 10th business day after the commencement of the offer period or the announcement that first identifies an offeror (as the case may be). Details of the time and date at which an offer period commenced and at which an offeror was first identified are set out in the Disclosure Table. In order to calculate the deadline for Opening Position Disclosures, it is therefore necessary to count forward 10 business days from the relevant date.

8.

Opening Position Disclosures and Dealing Disclosures required under Rule 8 of the Code must be made to a Regulatory Information Service ("RIS").

9.

This Note is applicable if it says "See Note 9 below" by the name of the company in the Disclosure Table above. The Executive has granted the company a dispensation from the requirements under the Code that announcements must be published via a RIS. The company is instead required to publish all announcements on its website. The Executive has also granted a dispensation from Note 3 on Rule 8 of the Code that disclosures made under Rule 8 of the Code must be made to a RIS. Therefore, Opening Position Disclosures and Dealing Disclosures required under Rule 8 of the Code may be made to the company at the address stated in the announcement that commenced the offer period.

 

10.

The following are approved Regulatory Information Services:

 

.

Business Wire Regulatory Disclosure provided by Business Wire

+44 (0)20 7626 1982

.

EQS IR COCKPIT provided by EquityStory AG

+49 89 21 02 98-50

.

GlobeNewswire provided by West Digital Media Solutions

+44 (0)20 3753 2071

.

MFN provided by Modular Finance

+44 (0)20 3026 4414

.

PR Newswire Disclose provided by PR Newswire

+44 (0)20 7454 5210

.

RNS provided by the London Stock Exchange

+44 (0)20 7797 4400

 

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END
 
 
TABUBRSRNUUAUAR
Date   Source Headline
2nd Mar 20267:00 amRNSCancellation - The Revel Collective Plc
27th Jan 20266:00 pmRNSThe Revel Collective
27th Jan 20262:05 pmRNSDisclosure Table
27th Jan 20261:17 pmRNSAppointment of Administrators & Nomad Resignation
26th Jan 202612:33 pmRNSNotice of intention to appoint Administrators
29th Dec 20257:30 amRNSSuspension - The Revel Collective plc
29th Dec 20257:30 amRNSSuspension - The Revel Collective plc
23rd Dec 20255:18 pmRNSForm 8.3 - Revel Collective PLC (The)
23rd Dec 20255:18 pmRNSForm 8.3 - Revel Collective PLC (The)
22nd Dec 20259:20 amRNSForm 8.5 (EPT/NON-RI) - Revel Collective PLC
19th Dec 20257:00 amRNSUpdate on Strategic Review and Formal Sale Process
19th Dec 20257:00 amRNSUpdate on Strategic Review and Formal Sale Process
12th Nov 20253:31 pmRNSForm 8.3 - Revel Collective Plc
10th Nov 20255:18 pmRNSForm 8.3 - Revel Collective Plc
10th Nov 20257:02 amRNSForm 8.3 - Revel Collective Plc
7th Nov 202511:33 amRNSForm 8.3 -The Revel Collective Plc
7th Nov 202510:00 amRNSForm 8.3 - Revel Collective PLC
6th Nov 20255:37 pmRNSForm 8.5 (EPT/NON-RI)
5th Nov 202511:10 amRNSForm 8 (OPD) - Revel Collective PLC
5th Nov 20259:33 amRNSHolding(s) in Company
3rd Nov 20252:01 pmRNSForm 8.3 - Revel Collective Plc
31st Oct 20254:00 pmRNSForm 8.3 - Revel Collective Plc
31st Oct 202512:32 pmRNSForm 8.3 - Revel Collective Plc
24th Oct 20257:00 amRNSStrategic Review and Launch of Formal Sale Process
29th Jul 20257:00 amRNSPre-Close Statement
10th Jun 20252:44 pmRNSDirectorate Change - CFO appointment
26th Mar 20257:00 amRNSDirectorate Change
4th Mar 20257:00 amRNSInterim Results
22nd Jan 20257:00 amRNSH1 Update
23rd Dec 20248:59 amRNSDirectorate Change
12th Dec 20242:39 pmRNSIssue of Equity
6th Dec 20249:49 amRNSShare Options and Director/PDMR Shareholding
4th Dec 20247:00 amRNSResult of AGM
8th Nov 20243:34 pmRNSAnnual Report, Notice of AGM and Directorate
28th Oct 20247:00 amRNSHolding(s) in Company
22nd Oct 20247:00 amRNSPreliminary Results
17th Oct 202411:40 amRNSNotice of Preliminary Results
16th Oct 20241:01 pmRNSChange of Company Website
14th Oct 20247:00 amRNSDirectorate Changes
13th Mar 201812:55 pmRNSDistribution
8th Mar 201810:54 amRNSResult of EGM
14th Feb 20184:35 pmRNSExtraordinary General Meetings - Correction
13th Feb 20181:00 pmRNSExtraordinary General Meetings
24th Jan 20187:00 amRNSReceipt of Disposal Proceeds
29th Dec 20177:00 amRNSHalf-year Report
21st Dec 201711:21 amRNSResult of AGM
30th Nov 201711:02 amRNSNotice of AGM
17th Nov 20177:30 amRNSSuspension - Trinity Capital Plc
10th Nov 20171:58 pmRNSCompletion of Disposal of Investment
9th Nov 20178:00 amRNSRestoration - Trinity Capital plc

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