Notification of Major Holdings
1. Details of issuer
Name: |
Daimler AG |
Street: |
Mercedesstrasse 120 |
Postal code: |
70372 |
City: |
Stuttgart Germany |
Legal Entity Identifier (LEI): |
529900R27DL06UVNT076 |
2. Reason for notification
|
Acquisition/disposal of shares with voting rights |
X |
Acquisition/disposal of instruments |
|
Change of breakdown of voting rights |
|
Other reason:
|
3. Details of person subject to the notification obligation
Legal entity: Société Générale S.A. City of registered office, country: 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:
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 pursuant to Sec. 41 WpHG |
New |
0.06 % |
6.72 % |
6.78 % |
1069837447 |
Previous notification |
N/A % |
N/A % |
N/A % |
/ |
7. Details on total positions
a. Voting rights attached to shares (Sec. 33, 34 WpHG)
ISIN |
Absolute |
In % |
|
Direct (Sec. 33 WpHG) |
Indirect (Sec. 34 WpHG) |
Direct (Sec. 33 WpHG) |
Indirect (Sec. 34 WpHG) |
DE0007100000 |
57859 |
590087 |
0.01 % |
0.05 % |
Total |
647946 |
0.06 % |
b.1. Instruments according to Sec. 38 (1) no. 1 WpHG
Type of instrument |
Expiration or maturity date |
Exercise or conversion period |
Voting rights absolute |
Voting rights in % |
Right to recall lent securities |
N/A |
N/A |
40668017 |
3.80 % |
Listed Call Option |
21/02/2020 |
Until 21/02/2020 |
110000 |
0.01 % |
Listed Call Option |
20/03/2020 |
Until 20/03/2020 |
420000 |
0.04 % |
Listed Call Option |
19/06/2020 |
Until 19/06/2020 |
575000 |
0.05 % |
Listed Call Option |
18/09/2020 |
Until 18/09/2020 |
100000 |
0.01 % |
Listed Call Option |
18/12/2020 |
Until 18/12/2020 |
2725000 |
0.25 % |
Listed Call Option |
18/06/2021 |
18/06/2021 |
400000 |
0.04 % |
Listed Call Option |
17/12/2021 |
Until 17/12/2021 |
1475000 |
0.14 % |
Listed Call Option |
17/12/2021 |
17/12/2021 |
125000 |
0.01 % |
Listed Call Option |
16/12/2022 |
Until 16/12/2022 |
400000 |
0.04 % |
Certificates |
20/03/2020 |
20/03/2020 |
56 |
0.00 % |
Certificates |
17/04/2020 |
17/04/2020 |
40 |
0.00 % |
Certificates |
19/06/2020 |
19/06/2020 |
2647 |
0.00 % |
Certificates |
18/09/2020 |
18/09/2020 |
2725 |
0.00 % |
Certificates |
18/12/2020 |
18/12/2020 |
3803 |
0.00 % |
Certificates |
19/03/2021 |
19/03/2021 |
2085 |
0.00 % |
Certificates |
18/06/2021 |
18/06/2021 |
1021 |
0.00 % |
|
|
Total |
47010394 |
4.39 % |
b.2. Instruments according to Sec. 38 (1) no. 2 WpHG
Type of instrument |
Expiration or maturity date |
Exercise or conversion period |
Cash or physical settlement |
Voting rights absolute |
Voting rights in % |
Equity Linked Swap on Basket |
03/02/2020 |
03/02/2020 |
Cash |
839000 |
0.08 % |
Equity Linked Swap on Basket |
07/02/2020 |
07/02/2020 |
Cash |
432639 |
0.04 % |
OTC Call Option on Basket |
03/01/2025 |
03/01/2025 |
Cash |
6691 |
0.00 % |
OTC Call Option on Basket |
03/01/2025 |
Until 03/01/2025 |
Cash |
12251 |
0.00 % |
Contract For Difference |
N/A |
N/A |
Cash |
276586 |
0.03 % |
Equity Linked Swaps |
17/02/2020 |
17/02/2020 |
Cash |
270478 |
0.03 % |
Futures |
20/03/2020 |
20/03/2020 |
Cash |
1235000 |
0.12 % |
Note with Warrant Unit |
17/12/2021 |
17/12/2021 |
Cash |
11857 |
0.00 % |
OTC Call Option |
18/03/2020 |
Until 18/03/2020 |
Cash |
9607 |
0.00 % |
OTC Call Option |
20/03/2020 |
20/03/2020 |
Cash |
43009 |
0.00 % |
OTC Call Option |
17/06/2020 |
Until 17/06/2020 |
Cash |
19639 |
0.00 % |
OTC Call Option |
19/06/2020 |
19/06/2020 |
Cash |
44253 |
0.00 % |
OTC Call Option |
16/09/2020 |
Until 16/09/2020 |
Cash |
8836 |
0.00 % |
OTC Call Option |
16/12/2020 |
Until 16/12/2020 |
Cash |
12593 |
0.00 % |
OTC Call Option |
18/12/2020 |
Until 18/12/2020 |
Cash |
1489 |
0.00 % |
OTC Call Option |
18/12/2020 |
18/12/2020 |
Cash |
300000 |
0.03 % |
OTC Call Option |
17/03/2021 |
Until 17/03/2021 |
Cash |
23750 |
0.00 % |
OTC Call Option |
15/12/2021 |
Until 15/12/2021 |
Cash |
1813 |
0.00 % |
OTC Call Option |
17/12/2021 |
Until 17/12/2021 |
Cash |
3 |
0.00 % |
OTC Call Option |
14/12/2022 |
Until 14/12/2022 |
Cash |
3601 |
0.00 % |
OTC Call Option |
16/12/2022 |
Until 16/12/2022 |
Cash |
4896 |
0.00 % |
OTC Call Option |
13/12/2023 |
Until 13/12/2023 |
Cash |
4410 |
0.00 % |
OTC Call Option |
03/01/2025 |
Until 03/01/2025 |
Cash |
30700 |
0.00 % |
OTC Put Option |
21/02/2020 |
21/02/2020 |
Cash |
8300 |
0.00 % |
OTC Put Option |
18/03/2020 |
Until 18/03/2020 |
Cash |
61307 |
0.01 % |
OTC Put Option |
20/03/2020 |
20/03/2020 |
Cash |
48442 |
0.00 % |
OTC Put Option |
17/04/2020 |
17/04/2020 |
Cash |
200 |
0.00 % |
OTC Put Option |
17/06/2020 |
Until 17/06/2020 |
Cash |
49204 |
0.00 % |
OTC Put Option |
19/06/2020 |
19/06/2020 |
Cash |
52115 |
0.00 % |
OTC Put Option |
26/08/2020 |
26/08/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
27/08/2020 |
27/08/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
28/08/2020 |
28/08/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
31/08/2020 |
31/08/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
01/09/2020 |
01/09/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
16/09/2020 |
Until 16/09/2020 |
Cash |
4383 |
0.00 % |
OTC Put Option |
18/09/2020 |
18/09/2020 |
Cash |
200 |
0.00 % |
OTC Put Option |
25/11/2020 |
25/11/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
26/11/2020 |
26/11/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
27/11/2020 |
27/11/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
30/11/2020 |
30/11/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
01/12/2020 |
01/12/2020 |
Cash |
570000 |
0.05 % |
OTC Put Option |
16/12/2020 |
Until 16/12/2020 |
Cash |
9436 |
0.00 % |
OTC Put Option |
18/12/2020 |
18/12/2020 |
Cash |
150000 |
0.01 % |
OTC Put Option |
25/02/2021 |
25/02/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
26/02/2021 |
26/02/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
01/03/2021 |
01/03/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
02/03/2021 |
02/03/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
03/03/2021 |
03/03/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
17/03/2021 |
Until 17/03/2021 |
Cash |
1593 |
0.00 % |
OTC Put Option |
26/05/2021 |
26/05/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
27/05/2021 |
27/05/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
28/05/2021 |
28/05/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
31/05/2021 |
31/05/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
01/06/2021 |
01/06/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
25/08/2021 |
25/08/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
26/08/2021 |
26/08/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
27/08/2021 |
27/08/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
30/08/2021 |
30/08/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
31/08/2021 |
31/08/2021 |
Cash |
570000 |
0,05 % |
OTC Put Option |
03/01/2025 |
Until 03/01/2025 |
Cash |
14620 |
0.00 % |
Listed Put Option |
20/03/2020 |
Until 20/03/2020 |
Physical |
1005000 |
0.09 % |
Listed Put Option |
19/06/2020 |
Until 19/06/2020 |
Physical |
1150000 |
0.11 % |
Listed Put Option |
18/12/2020 |
Until 18/12/2020 |
Physical |
700000 |
0.07 % |
Listed Put Option |
18/12/2020 |
18/12/2020 |
Physical |
1000000 |
0.09 % |
Listed Put Option |
18/06/2021 |
Until 18/06/2021 |
Physical |
75000 |
0.01 % |
Listed Put Option |
17/12/2021 |
Until 17/12/2021 |
Physical |
1425000 |
0.13 % |
Listed Put Option |
17/12/2021 |
17/12/2021 |
Physical |
125000 |
0.01 % |
Listed Put Option |
16/12/2022 |
Until 16/12/2022 |
Physical |
672500 |
0.06 % |
Listed Call Warrant |
18/03/2020 |
Until 18/03/2020 |
Cash |
6641 |
0.00 % |
Listed Call Warrant |
20/03/2020 |
20/03/2020 |
Cash |
43009 |
0.00 % |
Listed Call Warrant |
17/06/2020 |
Until 17/06/2020 |
Cash |
8449 |
0.00 % |
Listed Call Warrant |
19/06/2020 |
19/06/2020 |
Cash |
44231 |
0.00 % |
Listed Call Warrant |
16/09/2020 |
Until 16/09/2020 |
Cash |
1153 |
0.00 % |
Listed Call Warrant |
16/12/2020 |
Until 16/12/2020 |
Cash |
3529 |
0.00 % |
Listed Call Warrant |
18/12/2020 |
Until 18/12/2020 |
Cash |
850 |
0.00 % |
Listed Call Warrant |
18/12/2020 |
18/12/2020 |
Cash |
60000 |
0.01 % |
Listed Call Warrant |
17/03/2021 |
Until 17/03/2021 |
Cash |
166 |
0.00 % |
Listed Call Warrant |
15/12/2021 |
Until 15/12/2021 |
Cash |
1295 |
0.00 % |
Listed Call Warrant |
17/12/2021 |
Until 17/12/2021 |
Cash |
2 |
0.00 % |
Listed Call Warrant |
14/12/2022 |
Until 14/12/2022 |
Cash |
605 |
0.00 % |
Listed Call Warrant |
16/12/2022 |
Until 16/12/2022 |
Cash |
2 |
0.00 % |
Listed Call Warrant |
13/12/2023 |
Until 13/12/2023 |
Cash |
1950 |
0.00 % |
Listed Call Warrant |
03/01/2025 |
Until 03/01/2025 |
Cash |
28051 |
0.00 % |
Listed Call Warrant |
03/01/2025 |
03/01/2025 |
Cash |
6229 |
0.00 % |
Listed Put Warrant |
21/02/2020 |
21/02/2020 |
Cash |
8300 |
0.00 % |
Listed Put Warrant |
18/03/2020 |
Until 18/03/2020 |
Cash |
61307 |
0.01 % |
Listed Put Warrant |
20/03/2020 |
20/03/2020 |
Cash |
48442 |
0.00 % |
Listed Put Warrant |
17/04/2020 |
17/04/2020 |
Cash |
200 |
0.00 % |
Listed Put Warrant |
17/06/2020 |
Until 17/06/2020 |
Cash |
49204 |
0.00 % |
Listed Put Warrant |
19/06/2020 |
19/06/2020 |
Cash |
52115 |
0.00 % |
Listed Put Warrant |
16/09/2020 |
Until 16/09/2020 |
Cash |
4383 |
0.00 % |
Listed Put Warrant |
18/09/2020 |
18/09/2020 |
Cash |
200 |
0.00 % |
Listed Put Warrant |
16/12/2020 |
Until 16/12/2020 |
Cash |
9436 |
0.00 % |
Listed Put Warrant |
18/12/2020 |
18/12/2020 |
Cash |
30000 |
0.00 % |
Listed Put Warrant |
17/03/2021 |
Until 17/03/2021 |
Cash |
1593 |
0.00 % |
Listed Put Warrant |
03/01/2025 |
Until 03/01/2025 |
Cash |
14620 |
0.00 % |
|
|
|
Total |
24881363 |
2.33 % |
8. Information in relation to the person subject to the notification obligation
|
Person subject to the notification obligation is not controlled nor does it control any other undertaking(s) that directly or indirectly hold(s) 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 3% or more) |
% of voting rights through instruments (if at least 5% or more) |
Total of both (if at least 5% or more) |
Société Générale S.A. |
% |
% |
% |
Société Générale Effekten GmbH |
% |
% |
% |
|
% |
% |
% |
Société Générale S.A. |
% |
% |
% |
Société Generale International Limited |
% |
% |
% |
|
% |
% |
% |
Société Générale S.A. |
% |
% |
% |
Généfinance S.A. |
% |
% |
% |
Sogéparticipations S.A. |
% |
% |
% |
Société Générale Bank & Trust S.A. |
% |
% |
% |
SG Issuer S.A. |
% |
% |
% |
|
% |
% |
% |
Société Générale S.A. |
% |
% |
% |
Codéis Securities S.A. |
% |
% |
% |
9. In case of proxy voting according to Sec. 34 para. 3 WpHG
(only in case of attribution of voting rights in accordance with Sec. 34 para. 1 sent. 1 No. 6 WpHG)
Date of general meeting:
Holding total positions after general meeting (6.) after annual general meeting:
Proportion of voting rights |
Proportion of instruments |
Total of both |
% |
% |
% |
10. Other explanatory remarks:
Date