ANNEX 1 – SUMMARY
FORM 6-K
SECURITIES AND EXCHANGE COMMISSION
Washington D.C. 20549
Report of Foreign Issuer
Pursuant to Rule 13a – 16 or 15d – 16 of
The Securities Exchange Act of 1934
Announcements sent to the London Stock Exchange
National Grid plc, 1-3 Strand, London, WC2N 5EH, United Kingdom
Update — Routine announcements from
24 April to 4 June 2010
DATE | DETAILS |
4 June 2010 | Publication of Annual Report and Accounts and Financial Timetable 2010/11 | |
4 June 2010 | Voting Rights and Capital (Transfer of shares from Treasury) | |
1 June 2010 | Voting Rights and Capital (end May issued capital confirmed) | |
28 May 2010 | Debt Repurchase: £10.309m of £247.2m 5.25%. Instruments due June 2011 | |
21 May 2010 | Debt Repurchase: £24.285m of £271.488m 5.25%. Instruments due June 2011 | |
20 May 2010 | Debt Repurchase:£28.512m of £300m 5.25%. Instruments due June 2011 | |
18 May 2010 | Directors share interests- Lapse of Executive Options | |
11 and 17 May 2010 | Voting Rights and Capital (Transfer of shares from Treasury) | |
10 May 2010 | Directors Interests-Share Incentive Plan-monthly update | |
6 May 2010 | Voting Rights and Capital (Transfer of shares from Treasury) | |
4 May 2010 | Voting Rights and Capital (end April issued capital confirmed) | |
27 April 2010 | Voting Rights and Capital (Transfer of shares from Treasury) | |
Note:During the period three separate National Grid plc Forms 6-k were sent re the following announcements:
25 May 2010:‘Annual Financial Report’
20 May 2010: ‘Results for the year ended 31 March 2010’
20 May 2010:(Global version) ‘National Grid plc 2 for 5 Rights Issue to raise approximately £3.2bn’