Liberty International PLC
26 April 2001
Date of 26 April 2001
Disclosure:
Date of dealing: 3 April 2001
Dealing in: BPT plc
1)
Class of Ordinary shares
securities:
2)
Amount bought Amount sold Price per unit
Nil 350,000 316p
3)
Resultant total of the same class owned or controlled (and percentage of
class):
2,475,000 (1.68%)
4)
Party making Liberty International PLC
disclosure:
5)
Name of fund Liberty International Asset Management Limited, a wholly
management owned subsidiary of Liberty International PLC, acting on
organisation: behalf of the Portfolio Property Fund.
6) Reason for Rule 8.3 - Disclosure because of ownership or control of 1%
disclosure: or more of the class of relevant securities dealt in.
Issued on behalf of Liberty International PLC
by Natasha Bruckland
Assistant Company Secretary
Direct telephone number: 020 7887 7108
End