Voting Rights Announcements | 21 December 2015 16:08


STADA Arzneimittel AG: Release according to Article 26, Section 1 of the WpHG [the German Securities Trading Act] with the objective of Europe-wide distribution

DGAP Voting Rights Announcement: STADA Arzneimittel AG

2015-12-21 / 16:08
Dissemination of a Voting Rights Announcement transmitted by DGAP – a service of EQS Group AG.
The issuer is solely responsible for the content of this announcement.


Notification of Major Holdings

1. Details of issuer
STADA Arzneimittel AG
Stadastraße 2-18
61118 Bad Vilbel
Germany

2. Reason for notification
Acquisition/disposal of shares with voting rights
X Acquisition/disposal of instruments
Change of breakdown of voting rights
X Other reason: Delta variation on listed warrants and OTC options

3. Details of person subject to the notification obligation
Name: City and country of registered office:
Societe Generale S.A. Paris
France

4. Names of shareholder(s)
holding directly 3% or more voting rights, if different from 3.

5. Date on which threshold was crossed or reached
11.12.2015

6. Total positions
% of voting rights attached to shares
(total of 7.a.)
% of voting rights through instruments
(total of 7.b.1 + 7.b.2)
total of both in %
(7.a. + 7.b.)
total number of voting rights of issuer
Resulting situation 0,00 % 4,98 % 4,98 % 62342440
Previous notification % % 9,57 % /

7. Notified details of the resulting situation
a. Voting rights attached to shares (Sec.s 21, 22 WpHG)
ISIN absolute in %
direct
(Sec. 21 WpHG)
indirect
(Sec. 22 WpHG)
direct
(Sec. 21 WpHG)
indirect
(Sec. 22 WpHG)
% %
Total %

b.1. Instruments according to Sec. 25 Abs. 1 Nr. 1 WpHG
Type of instrument Expiration or maturity date Exercise or conversion period Voting rights absolute Voting rights in %
Certificates 16.11.2020 until 16.11.2020 1552 0,002 %
Total 1552 0,002 %

b.2. Instruments according to Sec. 25 Abs. 1 Nr. 2 WpHG
Type of instrument Expiration or maturity date Exercise or conversion period Cash or physical settlement Voting rights absolute Voting rights in %
Certificate 18.12.2015 18.12.2015 Cash 16400 0,03 %
Euro Medium Term Note 20.11.2018 until 20.11.2018 Cash 15691 0,03 %
OTC call-option 18.12.2015 until 18.12.2015 Cash 32820 0,05 %
OTC call-option 16.12.2016 until 16.12.2016 Cash 70662 0,11 %
OTC call-option 15.12.2017 until 15.12.2017 Cash 46376 0,07 %
OTC call-option 21.12.2018 until 21.12.2018 Cash 1638 0,00 %
OTC call-option 03.01.2025 until 03.01.2025 Cash 600000 0,96 %
Listed call warrant 18.12.2015 until 18.12.2015 Cash 7241 0,01 %
Listed call warrant 18.12.2015 until 18.12.2015 Cash 13105 0,02 %
Listed call warrant 18.12.2015 until 18.12.2015 Cash 10001 0,02 %
Listed call warrant 16.12.2016 until 16.12.2016 Cash 32919 0,05 %
Listed call warrant 16.12.2016 until 16.12.2016 Cash 26435 0,04 %
Listed call warrant 16.12.2016 until 16.12.2016 Cash 11011 0,02 %
Listed call warrant 16.12.2016 until 16.12.2016 Cash 12 0,00 %
Listed call warrant 15.12.2017 until 15.12.2017 Cash 858 0,00 %
Listed call warrant 15.12.2017 until 15.12.2017 Cash 27830 0,04 %
Listed call warrant 15.12.2017 until 15.12.2017 Cash 16706 0,03 %
Listed call warrant 21.12.2018 until 21.12.2018 Cash 956 0,00 %
Listed call warrant 21.12.2018 unil 21.12.2018 Cash 682 0,00 %
Listed call warrant 03.01.2025 until 03.01.2025 Cash 599406 0,96 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 2500 0,00 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.12.2015 18.12.2015 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 2500 0,00 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Listed put warrant 18.03.2016 18.03.2016 Cash 20000 0,03 %
Total 3103249 4,98 %

8. Information in relation to the person subject to the notification obligation
Person subject to the notification obligation is not controlled and does itself not control any other undertaking(s) holding directly or indirectly an interest in the (underlying) issuer (1.).
X Full chain of controlled undertakings starting with the ultimate controlling natural person or legal entity:

Name % of voting rights (if at least held 3% or more) % of voting rights through instruments (if at least held 5% or more) Total of both (if at least held 5% or more)
Societe Generale S.A. % % %
Societe Generale Effekten GmbH % % %

9. In case of proxy voting according to § 22 Abs. 3 WpHG

Date of general meeting:
Holding position after general meeting: % (equals voting rights)



2015-12-21 The DGAP Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases.
Media archive at www.dgap-medientreff.de and www.dgap.de



Language: English
Company: STADA Arzneimittel AG
Stadastraße 2-18
61118 Bad Vilbel
Germany
Internet: www.stada.de
End of News DGAP News Service

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