| Newtyn Management, LLC |
11,268,919 |
£48,230,973 |
| Palliser Capital (UK) Ltd |
9,758,433 |
£41,766,093 |
| Palliser Capital (UK) Ltd |
9,223,965 |
£39,478,570 |
| Newtyn Management, LLC |
9,135,552 |
£39,100,163 |
| Morgan Stanley |
8,752,354 |
£37,460,075 |
| Palliser Capital (UK) Ltd |
8,675,019 |
£37,129,081 |
| Morgan Stanley |
7,187,610 |
£30,762,971 |
| Massachusetts Mutual Life Insurance Company |
6,974,174 |
£29,849,465 |
| MFS Investment Management |
6,658,675 |
£28,499,129 |
| Kite Lake Capital Management (UK) LLP |
5,630,814 |
£24,099,884 |
| Madison Avenue Partners LP |
3,759,796 |
£16,091,927 |
| Citigroup Global Markets Limited |
3,696,406 |
£15,820,618 |
| The Goldman Sachs Group, Inc. |
3,375,755 |
£14,448,231 |
| Bank of America Merrill Lynch International collateral account |
3,138,076 |
£13,430,965 |
| Aggregate of Standard Life Aberdeen plc |
2,894,037 |
£12,386,478 |
| The Goldman Sachs Group, Inc. |
2,786,451 |
£11,926,010 |
| Cairn Energy ESOP |
2,753,042 |
£11,783,020 |
| Dimensional Fund Advisors |
2,665,515 |
£11,408,404 |
| Greenlight Capital, Inc. |
2,634,828 |
£11,277,064 |
| Majedie Asset Management |
2,399,464 |
£10,269,706 |
| BlackRock Inc |
2,289,739 |
£9,800,083 |
| Legal & General Investment Management |
2,238,767 |
£9,581,923 |
| Janus Henderson Group plc |
2,234,879 |
£9,565,282 |
| Hotchkis and Wiley Capital Management |
2,165,825 |
£9,269,731 |
| Franklin Templeton |
2,057,367 |
£8,805,531 |
| Oppenheimer Funds |
2,055,811 |
£8,798,871 |
| Vanguard Group |
2,022,004 |
£8,654,177 |
| Schroder Investment Management |
2,010,292 |
£8,604,050 |
| Fidelity Investments |
2,005,071 |
£8,581,704 |
| Merrill Lynch International |
1,785,777 |
£7,643,126 |
| Cobas Asset Management, SGIIC, S.A. |
1,768,556 |
£7,569,420 |
| Franklin Mutual Advisers, LLC |
1,709,831 |
£7,318,077 |
| Kames Capital Plc |
1,622,151 |
£6,942,806 |
| Societe Generale |
1,557,854 |
£6,667,615 |
| Massachusetts Financial Services Company |
1,333,833 |
£5,708,805 |
| Walter Scott & Partners |
50,000 |
£214,000 |