Business
Irish Form 38.5 B DCC ENERGY PLC
Barclays Capital Securities Ltd, connected to Energy Capital Partners and Kohlberg Kravis Roberts & Co. L.P., has disclosed its holdings in DCC Energy PLC as of July 22, 2026. The firm holds 1,173,276 ordinary shares representing 1.37% of the class, along with 276,249 in cash-settled derivatives representing 0.32%. They also have short positions totaling 555,078 shares (0.65%) and 1,013,176 in cash-settled derivatives (1.19%), resulting in a net interest of 1.70% and short positions of 1.84%. The disclosure details numerous small purchases and sales of ordinary shares, with prices ranging from 62.75 to 63.10 GBP, and various swap and CFD transactions. Disclaimer*

About this update from Barclays Plc
FORM 38.5(b) IRISH TAKEOVER PANEL OPENING POSITION DISCLOSURE/DEALING DISCLOSURE UNDER RULE 38.5(b) OF THE IRISH TAKEOVER PANEL ACT, 1997, TAKEOVER RULES, 2022 BY A CONNECTED EXEMPT PRINCIPAL TRADER WITHOUT RECOGNISED INTERMEDIARY STATUS, OR WITH RECOGNISED INTERMEDIARY STATUS BUT NOT DEALING IN A CLIENT-SERVING CAPACITY 1. KEY INFORMATION (a) Name of exempt principal trader: BARCLAYS CAPITAL SECURITIES LTD (b) Name of offeror/offeree in relation to whose relevant securities this form relates: DCC ENERGY PLC (c) Name of the party to the offer with which exempt principal trader is connected (Note 1) Energy Capital Partners, LLC and Kohlberg Kravis Roberts & Co. L. P. (d) Date position held/dealing undertaken: 22 JUL 2026 (e) In addition to the company in 1(b) above, is the exempt principal trader making disclosures in respect of any other party to the offer? NO 2. INTERESTS AND SHORT POSITIONS Interests and short positions in the relevant securities of the offeror or offeree to which the disclosure relates following the dealing (if any) (Note 2) Class of relevant security: €0.25OrdinaryShares Interests Short Positions Number (%) Number (%) (1) Relevant securities owned and/or controlled: 1,173,276 1.37% 555,078 0.65% (2) Cash-settled derivatives: 276,249 0.32% 1,013,176 1.19% (3) Stock-settled derivatives (including options) and agreements to purchase/sell: 0 0.00% 0 0.00% TOTAL: 1,449,525 1.70% 1,568,254 1.84% 3. DEALINGS (IF ANY) BY THE EXEMPT PRINCIPAL TRADER (Note 4) (a) Purchase and sales Class of relevant Security Purchase/sale Total number of securities Highest price per unit paid/received Lowest price per unit paid/received €0.25OrdinaryShares Purchase 2 62.7500 GBP 62.7500 GBP €0.25OrdinaryShares Purchase 15 62.8500 GBP 62.8500 GBP €0.25OrdinaryShares Purchase 19 62.9547 GBP 62.9547 GBP €0.25OrdinaryShares Purchase 40 62.9262 GBP 62.9262 GBP €0.25OrdinaryShares Purchase 61 62.9250 GBP 62.9250 GBP €0.25OrdinaryShares Purchase 76 63.1000 GBP 63.1000 GBP €0.25OrdinaryShares Purchase 126 62.9873 GBP 62.9873 GBP €0.25OrdinaryShares Purchase 136 62.9625 GBP 62.9625 GBP €0.25OrdinaryShares Purchase 142 62.9728 GBP 62.9728 GBP €0.25OrdinaryShares Purchase 150 62.9470 GBP 62.9470 GBP €0.25OrdinaryShares Purchase 204 62.9333 GBP 62.9333 GBP €0.25OrdinaryShares Purchase 227 62.9376 GBP 62.9376 GBP €0.25OrdinaryShares Purchase 254 62.9236 GBP 62.9236 GBP €0.25OrdinaryShares Purchase 329 62.9124 GBP 62.9124 GBP €0.25OrdinaryShares Purchase 360 62.9712 GBP 62.9712 GBP €0.25OrdinaryShares Purchase 360 62.9673 GBP 62.9673 GBP €0.25OrdinaryShares Purchase 386 62.9000 GBP 62.9000 GBP €0.25OrdinaryShares Purchase 492 62.9374 GBP 62.9374 GBP €0.25OrdinaryShares Purchase 666 63.0000 GBP 63.0000 GBP €0.25OrdinaryShares Purchase 698 62.9167 GBP 62.9167 GBP €0.25OrdinaryShares Purchase 913 63.0104 GBP 63.0104 GBP €0.25OrdinaryShares Purchase 918 62.9185 GBP 62.9185 GBP €0.25OrdinaryShares Purchase 996 62.9331 GBP 62.9331 GBP €0.25OrdinaryShares Purchase 1,182 62.9675 GBP 62.9675 GBP €0.25OrdinaryShares Purchase 1,182 62.9684 GBP 62.9684 GBP €0.25OrdinaryShares Purchase 1,392 62.9977 GBP 62.9977 GBP €0.25OrdinaryShares Purchase 1,435 63.0440 GBP 63.0440 GBP €0.25OrdinaryShares Purchase 1,527 62.9751 GBP 62.9751 GBP €0.25OrdinaryShares Purchase 1,715 62.9756 GBP 62.9756 GBP €0.25OrdinaryShares Purchase 2,354 62.8728 GBP 62.8728 GBP €0.25OrdinaryShares Purchase 2,461 62.9257 GBP 62.9257 GBP €0.25OrdinaryShares Purchase 2,548 62.9361 GBP 62.9361 GBP €0.25OrdinaryShares Purchase 2,691 63.0811 GBP 63.0811 GBP €0.25OrdinaryShares Purchase 2,774 62.9344 GBP 62.9344 GBP €0.25OrdinaryShares Purchase 3,554 62.9045 GBP 62.9045 GBP €0.25OrdinaryShares Purchase 7,346 62.9544 GBP 62.9544 GBP €0.25OrdinaryShares Purchase 8,050 62.9183 GBP 62.9183 GBP €0.25OrdinaryShares Purchase 10,220 62.9387 GBP 62.9387 GBP €0.25OrdinaryShares Purchase 12,312 62.9735 GBP 62.9735 GBP €0.25OrdinaryShares Purchase 15,902 62.9695 GBP 62.9695 GBP €0.25OrdinaryShares Purchase 90,580 62.9500 GBP 62.9500 GBP €0.25OrdinaryShares Sale 1 63.0400 GBP 63.0400 GBP €0.25OrdinaryShares Sale 2 62.7500 GBP 62.7500 GBP €0.25OrdinaryShares Sale 19 62.8750 GBP 62.8750 GBP €0.25OrdinaryShares Sale 20 63.0050 GBP 63.0050 GBP €0.25OrdinaryShares Sale 31 62.8709 GBP 62.8709 GBP €0.25OrdinaryShares Sale 51 63.0009 GBP 63.0009 GBP €0.25OrdinaryShares Sale 90 62.9600 GBP 62.9600 GBP €0.25OrdinaryShares Sale 112 62.8500 GBP 62.8500 GBP €0.25OrdinaryShares Sale 147 62.9010 GBP 62.9010 GBP €0.25OrdinaryShares Sale 176 62.9488 GBP 62.9488 GBP €0.25OrdinaryShares Sale 192 62.9018 GBP 62.9018 GBP €0.25OrdinaryShares Sale 240 62.9000 GBP 62.9000 GBP €0.25OrdinaryShares Sale 298 63.1000 GBP 63.1000 GBP €0.25OrdinaryShares Sale 368 62.8889 GBP 62.8889 GBP €0.25OrdinaryShares Sale 421 63.0964 GBP 63.0964 GBP €0.25OrdinaryShares Sale 768 62.9203 GBP 62.9203 GBP €0.25OrdinaryShares Sale 827 62.9003 GBP 62.9003 GBP €0.25OrdinaryShares Sale 845 62.9661 GBP 62.9661 GBP €0.25OrdinaryShares Sale 908 62.9077 GBP 62.9077 GBP €0.25OrdinaryShares Sale 1,173 62.9472 GBP 62.9472 GBP €0.25OrdinaryShares Sale 2,545 62.9173 GBP 62.9173 GBP €0.25OrdinaryShares Sale 3,628 62.8995 GBP 62.8995 GBP €0.25OrdinaryShares Sale 5,947 62.9490 GBP 62.9490 GBP €0.25OrdinaryShares Sale 8,290 62.9417 GBP 62.9417 GBP €0.25OrdinaryShares Sale 35,235 63.0500 GBP 63.0500 GBP €0.25OrdinaryShares Sale 47,415 62.9500 GBP 62.9500 GBP (b) Cash-settled derivative transactions Class of relevant security Product description Nature of dealing Number of reference securities Price per unit 鈧 �.25OrdinaryShares: SWAP Decreasing Long 3,554 62.9045 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 139 62.9376 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Long 3,628 62.8995 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 195 62.9652 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 110 62.9626 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 81 62.9993 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 46 62.9612 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 3,237 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Long 19 62.9548 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 40,735 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 1,229 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Long 743 62.9531 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 272 62.9352 GBP 鈧 �.25OrdinaryShares: CFD Increasing Long 112 62.945 GBP 鈧 �.25OrdinaryShares: CFD Decreasing Short 907 63.0778 GBP 鈧 �.25OrdinaryShares: CFD Decreasing Long 231 62.8923 GBP 鈧 �.25OrdinaryShares: CFD Closing Long 152 62.9444 GBP 鈧 �.25OrdinaryShares: CFD Increasing Short 9,165 63.0023 GBP 鈧 �.25OrdinaryShares: CFD Closing Short 908 62.9077 GBP 鈧 �.25OrdinaryShares: CFD Opening Short 3,746 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 6,563 62.9468 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 1,006 62.9268 GBP 鈧 �.25OrdinaryShares: SWAP Closing Short 1 63.0450 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 39 62.9376 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 49 62.9376 GBP 鈧 �.25OrdinaryShares: SWAP Closing Long 185 62.9463 GBP 鈧 �.25OrdinaryShares: SWAP Closing Long 1,804 62.9464 GBP 鈧 �.25OrdinaryShares: SWAP Closing Long 1,746 62.9463 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Long 41 62.9463 GBP 鈧 �.25OrdinaryShares: SWAP Closing Long 7,346 62.9544 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 1,173 62.9472 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Long 1,774 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 721 62.9737 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 339 62.9597 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 440 62.9520 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 913 63.0104 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 4,824 62.9500 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 39 62.9923 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 19,672 63.0500 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 91 62.9357 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 2,548 62.9361 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 1,656 62.9304 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 1,527 62.9751 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 2,484 63.0500 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 10,220 62.9387 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 15,563 63.0500 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 996 62.9331 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 2,550 62.9265 GBP 鈧 �.25OrdinaryShares: SWAP Increasing Short 12,312 62.9735 GBP 鈧 �.25OrdinaryShares: SWAP Decreasing Short 827 62.9003 GBP (c) Stock-settled derivative transactions (including options) (i) Writing, selling, purchasing or varying Class of relevant security Product description Writing, purchasing, selling, varying etc Number of securities to which option relates (Note 6) Exercise price per unit Type Expiry date Option money paid/ received per unit (ii) Exercising Class of relevant security Product description Exercising/ exercised against Number of securities Exercise price per unit (d) Other dealings (including subscribing for new securities) Class of relevant security Nature of Dealings Details Price per unit (if applicable) 4. OTHER INFORMATION (a) Indemnity and other dealings arrangements Details of any indemnity or option arrangement, or any agreement or understanding, formal or informal, relating to relevant securities which may be an inducement to deal or refrain from dealing entered into by the exempt principal trader making the disclosure and any party to the offer or any person acting in concert with a party to the offer: Irrevocable commitments and letters of intent should not be included. If there are no such agreements, arrangements or understandings, state "none" NONE (b) 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. NONE (c) Attachments Is a Supplemental Form 38.5(b) attached? NO Date of disclosure: 23 Jul 2026 Contact name: Large Holdings Regulatory Operations Telephone number: 020 3134 7213