EPT Disclosure KRAFT FOODS INC

FORM 38.5(b) DEALINGS BY CONNECTED EXEMPT PRINCIPAL TRADERS WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RI STATUS BUT NOT DEALING IN A CLIENT-SERVING CAPACITY (Rule 38.5(b) of the Takeover Code) 1. KEY INFORMATION Name of exempt principal Barclays Capital Inc trader Company dealt in Kraft Foods Inc Class of relevant security A Common to which the dealings being disclosed relate (Note 1) Date of dealing 11 January 2010 2. INTERESTS, SHORT POSITIONS AND RIGHTS TO SUBSCRIBE (a) Interests and short positions (following dealing) in the class of relevant security dealt in (Note 2) Long Short Number (%) Number (%) (1) Relevant securities 450,145 0.03% 274,403 0.02% (2) Derivatives (other than 0 0.00% 0 0.00% options) (3) Options and agreements 812,100 0.05% 1,689,100 0.11% to purchase/sell Total 1,262,245 0.08% 1,997,380 0.13% (b) Interests and short positions in relevant securities of the company, other than the class dealt in (Note 2) Class of relevant security: Long Short Number (%) Number (%) (1) Relevant securities (2) Derivatives (other than options) (3) Options and agreements to purchase/sell Total (c) Rights to subscribe (Note 2) Class of relevant security: Details 3. DEALINGS (Note 3) (a) Purchases and sales Purchase/sale Number of securities Price per unit (Note 4) (USD) Purchase 1 28.7856 Purchase 1 28.7856 Purchase 6 28.7856 Purchase 20 28.78 Purchase 29 28.74 Purchase 46 28.77 Purchase 73 28.9 Purchase 100 29.0248 Purchase 100 28.87 Purchase 100 28.98 Purchase 100 28.77 Purchase 100 28.69 Purchase 100 28.76 Purchase 100 28.87 Purchase 100 28.87 Purchase 100 28.88 Purchase 100 28.7 Purchase 116 28.77 Purchase 200 28.7 Purchase 200 28.79 Purchase 200 28.74 Purchase 200 28.7 Purchase 300 28.78 Purchase 300 28.82 Purchase 300 28.985 Purchase 300 28.76 Purchase 351 28.760086 Purchase 400 28.77 Purchase 500 28.74 Purchase 500 28.7 Purchase 545 28.81724771 Purchase 600 28.8 Purchase 700 28.76857143 Purchase 700 28.78071429 Purchase 700 28.77528571 Purchase 700 28.7601 Purchase 800 28.83 Purchase 1,100 28.77727273 Purchase 1,100 28.8 Purchase 1,300 28.72461538 Purchase 1,700 28.81029412 Purchase 1,900 28.800526 Purchase 2,106 29.04666667 Purchase 2,504 28.8 Purchase 2,832 28.74701977 Purchase 3,100 28.78180645 Purchase 3,500 28.77942857 Purchase 3,605 28.82527323 Purchase 4,177 28.82 Purchase 6,494 29.05281645 Purchase 10,000 28.798 Purchase 18,000 28.81676667 Purchase 18,700 28.77684492 Purchase 33,396 28.81178345 Purchase 34,806 28.7804009 Purchase 45,000 28.7957 Purchase 45,300 28.8928 Purchase 47,400 28.79829114 Purchase 63,200 28.79734335 Purchase 162,800 28.8099 Sale 1 28.7856 Sale 6 28.7856 Sale 7 28.9 Sale 16 28.77 Sale 20 28.78 Sale 51 28.7602 Sale 73 28.9 Sale 92 28.79 Sale 100 28.77 Sale 100 28.64 Sale 100 28.7602 Sale 200 28.76 Sale 200 28.84 Sale 200 28.77 Sale 200 28.7 Sale 200 28.76 Sale 300 28.985 Sale 300 28.69666667 Sale 300 28.78 Sale 300 28.82 Sale 300 28.69666667 Sale 300 28.75333333 Sale 300 28.985 Sale 400 28.8725 Sale 400 28.7625 Sale 400 28.77 Sale 500 28.74 Sale 546 28.76093407 Sale 600 28.8 Sale 700 28.78071429 Sale 700 28.75571429 Sale 870 28.74850575 Sale 900 28.75333333 Sale 1,100 28.78181818 Sale 1,129 28.7627 Sale 1,600 28.765625 Sale 1,900 28.80052632 Sale 2,100 28.7807619 Sale 2,230 28.77973094 Sale 2,832 28.74702 Sale 3,400 28.77 Sale 3,400 28.81126471 Sale 3,500 28.77947143 Sale 4,205 28.83 Sale 4,300 28.7 Sale 4,800 28.7919 Sale 5,100 28.78 Sale 5,600 28.8275 Sale 7,000 28.73057143 Sale 9,900 28.78222222 Sale 10,000 28.798 Sale 11,341 28.77852218 Sale 15,200 28.79460526 Sale 18,800 28.78070691 Sale 19,000 28.83971053 Sale 19,500 28.8159641 Sale 21,204 28.7795794 Sale 45,000 28.7957 Sale 45,300 28.8928 Sale 47,400 28.79829114 Sale 81,200 28.80164901 Sale 144,108 28.81149549 The following dealing which was reported on the Rule 38.5(b) report for 8 January 2010 has subsequently been cancelled. Purchase/sale Number of securities Price per unit (Note 4) Purchase 4,500 (USD) 28.4509 (b) Derivatives transactions (other than options) Product Long/short Number of securities Price per unit name, (Note 5) (Note 6) (Note 4) e.g. CFD (c) Options transactions in respect of existing securities (i) Writing, selling, purchasing or varying Product Writing, Number of Exerc Type, Expiry Option name, selling, securities ise e.g. date money e.g. call purchasing, to which price American paid/re option varying the option (USD) , ceived etc. relates European per (Note 6) etc. unit (Note 4) Call Option Purchasing 1,900 29 American 16/01/2010 0.15 Call Option Purchasing 100 30 American 22/01/2011 1.55 Call Option Purchasing 100 30 American 22/01/2011 1.55 Call Option Purchasing 300 28 American 20/03/2010 1.45 Call Option Purchasing 300 30 American 20/03/2010 0.5 Call Option Purchasing 100 27 American 19/06/2010 2.6 Call Option Purchasing 100 27 American 19/06/2010 2.6 Call Option Purchasing 200 30 American 20/02/2010 0.3 Call Option Purchasing 100 30 American 20/02/2010 0.3 Call Option Purchasing 100 29 American 20/02/2010 0.7 Call Option Purchasing 200 29 American 20/02/2010 0.71 Call Option Purchasing 100 29 American 20/02/2010 0.7 Call Option Purchasing 400 29 American 19/06/2010 1.48 Call Option Purchasing 200 29 American 19/06/2010 1.35 Call Option Selling 100 27.5 American 16/01/2010 1.4 Call Option Selling 400 27.5 American 16/01/2010 1.4 Call Option Selling 100 27.5 American 16/01/2010 1.4 Call Option Selling 100 27.5 American 16/01/2010 1.4 Call Option Selling 200 27.5 American 16/01/2010 1.35 Call Option Selling 800 27.5 American 16/01/2010 1.25 Call Option Selling 300 27.5 American 16/01/2010 1.25 Call Option Selling 200 28 American 20/03/2010 1.65 Put Option Selling 200 30 American 20/02/2010 1.55 Put Option Selling 1,300 30 American 20/02/2010 1.55 Put Option Selling 7,800 27 American 20/02/2010 0.3 Put Option Selling 10,200 27 American 20/02/2010 0.3 Put Option Selling 9,000 27 American 20/02/2010 0.3 Put Option Selling 24,300 27 American 20/02/2010 0.3 Put Option Selling 1,300 27 American 20/02/2010 0.3 Put Option Selling 900 22.5 American 22/01/2011 0.75 Put Option Selling 7,000 29 American 20/02/2010 1 Put Option Selling 6,900 29 American 20/02/2010 1 Put Option Selling 1,000 27 American 19/06/2010 1.05 (ii) Exercising Product name, e.g. call Number of securities Exercise price per unit option (Note 4) (d) Other dealings (including new securities) (Note 3) Nature of transaction Details Price per unit (if (Note 7) applicable) (Note 4) 4. OTHER INFORMATION Agreements, arrangements or understandings relating to options or derivatives Full details of any agreement, arrangement or understanding between the person disclosing and any other person relating to the voting rights of any relevant securities under any option referred to on this form or relating to the voting rights or future acquisition or disposal of any relevant securities to which any derivative referred to on this form is referenced. If none, this should be stated. Is a Supplemental Form 38.5(b) attached? (Note 8) YES Date of disclosure 12 January 2010 Contact name Geoff Smith Telephone number 020 7116 2913 Name of offeree/offeror with which Kraft Foods Inc connected Nature of connection (Note 9) Advisor SUPPLEMENTAL FORM 38.5(b) DETAILS OF OPEN POSITIONS (This form should be attached to Form 38.5(b)) OPEN POSITIONS (Note 1) Product Written Number of Exercise Type, Expiry date name, or securities price e.g. e.g. call purchased to which the (Note 2) American option option or (USD) , derivative European relates etc. Call Option Purchased 2,300 20 American 22-Jan-11 Call Option Purchased 800 20 American 21-Jan-12 Call Option Purchased 200 23 American 19-Jun-10 Call Option Purchased 100 24 American 19-Jun-10 Call Option Purchased 31,800 25 American 16-Jan-10 Call Option Purchased 300 25 American 20-Mar-10 Call Option Purchased 100 25 American 19-Jun-10 Call Option Purchased 100 26 American 16-Jan-10 Call Option Purchased 1,800 26 American 20-Mar-10 Call Option Purchased 9,300 27 American 20-Feb-10 Call Option Purchased 76,400 27 American 20-Mar-10 Call Option Purchased 2,000 27 American 19-Jun-10 Call Option Purchased 6,000 28 American 19-Jun-10 Call Option Purchased 44,000 29 American 16-Jan-10 Call Option Purchased 3,400 29 American 20-Feb-10 Call Option Purchased 4,200 29 American 19-Jun-10 Call Option Purchased 2,300 30 American 20-Feb-10 Call Option Purchased 7,100 30 American 19-Jun-10 Call Option Purchased 9,600 30 American 21-Jan-12 Call Option Purchased 2,900 31 American 20-Feb-10 Call Option Purchased 10,200 31 American 20-Mar-10 Call Option Purchased 3,000 31 American 19-Jun-10 Call Option Purchased 1,700 35 American 21-Jan-12 Call Option Purchased 5,500 45 American 16-Jan-10 Call Option Purchased 11,800 22.5 American 16-Jan-10 Call Option Purchased 12,700 32.5 American 16-Jan-10 Put Option Purchased 3,100 15 American 16-Jan-10 Put Option Purchased 8,700 15 American 22-Jan-11 Put Option Purchased 27,400 20 American 16-Jan-10 Put Option Purchased 9,400 20 American 22-Jan-11 Put Option Purchased 1,200 21 American 20-Mar-10 Put Option Purchased 33,500 23 American 20-Mar-10 Put Option Purchased 700 23 American 19-Jun-10 Put Option Purchased 3,000 24 American 20-Mar-10 Put Option Purchased 1,600 24 American 19-Jun-10 Put Option Purchased 23,200 25 American 16-Jan-10 Put Option Purchased 13,900 25 American 20-Mar-10 Put Option Purchased 3,800 25 American 19-Jun-10 Put Option Purchased 161,700 25 American 22-Jan-11 Put Option Purchased 44,000 26 American 16-Jan-10 Put Option Purchased 72,300 26 American 20-Mar-10 Put Option Purchased 3,200 27 American 20-Mar-10 Put Option Purchased 10,500 29 American 16-Jan-10 Put Option Purchased 3,500 29 American 19-Jun-10 Put Option Purchased 1,900 30 American 16-Jan-10 Put Option Purchased 4,900 30 American 19-Jun-10 Put Option Purchased 27,800 30 American 22-Jan-11 Put Option Purchased 600 30 American 21-Jan-12 Put Option Purchased 27,800 31 American 20-Feb-10 Put Option Purchased 7,400 35 American 16-Jan-10 Put Option Purchased 6,800 35 American 22-Jan-11 Put Option Purchased 5,500 40 American 22-Jan-11 Put Option Purchased 100 50 American 22-Jan-11 Put Option Purchased 700 17.5 American 16-Jan-10 Put Option Purchased 500 17.5 American 22-Jan-11 Put Option Purchased 51,000 27.5 American 16-Jan-10 Put Option Purchased 2,800 32.5 American 16-Jan-10 Call Option Sold 2,100 15 American 22-Jan-11 Call Option Sold 100 25 American 16-Jan-10 Call Option Sold 78,000 25 American 22-Jan-11 Call Option Sold 11,900 25 American 21-Jan-12 Call Option Sold 50,400 26 American 20-Feb-10 Call Option Sold 26,400 26 American 19-Jun-10 Call Option Sold 4,200 28 American 20-Feb-10 Call Option Sold 37,300 28 American 20-Mar-10 Call Option Sold 222,900 29 American 16-Jan-10 Call Option Sold 43,100 29 American 20-Mar-10 Call Option Sold 101,600 30 American 16-Jan-10 Call Option Sold 16,700 30 American 20-Mar-10 Call Option Sold 45,300 30 American 22-Jan-11 Call Option Sold 200 31 American 16-Jan-10 Call Option Sold 500 32 American 20-Mar-10 Call Option Sold 600 33 American 20-Mar-10 Call Option Sold 10,100 35 American 16-Jan-10 Call Option Sold 1,800 35 American 19-Jun-10 Call Option Sold 28,600 35 American 22-Jan-11 Call Option Sold 10,400 40 American 16-Jan-10 Call Option Sold 3,800 40 American 22-Jan-11 Call Option Sold 1,500 45 American 22-Jan-11 Call Option Sold 8,300 50 American 22-Jan-11 Call Option Sold 100 17.5 American 22-Jan-11 Call Option Sold 9,500 22.5 American 22-Jan-11 Call Option Sold 158,800 27.5 American 16-Jan-10 Call Option Sold 1,200 37.5 American 16-Jan-10 Put Option Sold 100 10 American 22-Jan-11 Put Option Sold 200 20 American 19-Jun-10 Put Option Sold 1,600 20 American 21-Jan-12 Put Option Sold 14,600 24 American 16-Jan-10 Put Option Sold 148,600 25 American 16-Jan-10 Put Option Sold 500 26 American 16-Jan-10 Put Option Sold 7,100 26 American 19-Jun-10 Put Option Sold 79,500 27 American 20-Feb-10 Put Option Sold 1,000 27 American 19-Jun-10 Put Option Sold 14,000 28 American 20-Feb-10 Put Option Sold 7,100 28 American 20-Mar-10 Put Option Sold 8,200 28 American 19-Jun-10 Put Option Sold 13,900 29 American 20-Feb-10 Put Option Sold 3,600 29 American 20-Mar-10 Put Option Sold 260,400 30 American 20-Feb-10 Put Option Sold 173,500 30 American 20-Mar-10 Put Option Sold 8,800 31 American 20-Mar-10 Put Option Sold 1,500 32 American 20-Mar-10 Put Option Sold 2,700 33 American 20-Mar-10 Put Option Sold 200 35 American 20-Mar-10 Put Option Sold 1,800 35 American 21-Jan-12 Put Option Sold 800 12.5 American 16-Jan-10 Put Option Sold 200 12.5 American 22-Jan-11 Put Option Sold 47,200 22.5 American 16-Jan-10 Put Option Sold 16,600 22.5 American 22-Jan-11 Notes 1. Where there are open option positions or open derivative positions (except for CFDs), full details should be given. Full details of any existing agreements to purchase or to sell should also be given on this form. 2. For all prices and other monetary amounts, the currency must be stated. For details of the Code's dealing disclosure requirements, see Rules 8 and 38.5 and their Notes which can be viewed on the Takeover Panel's website at www.thetakeoverpanel.org.uk

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Barclays (BARC)
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