Why is this only being notified now? The change occurred on 5 July, and SO4 didn’t go into a trading pause until 27 July (followed by voluntary suspension). Plenty of business days available between those two dates during which the holder would’ve been aware of the change in the size of their holding and the need to comply with section (c)(i):
So unless it was an oversight (which seems odd given the controversy surrounding us) is it section (c)(ii)(A) that has suddenly prompted this filing today - is Lombard Odier/UBS now aware of something we are not...?
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Ann: Change in substantial holding, page-2
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