-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, TbjKbaJJv9Dl/ixN/JZtQgJSXvMoP4MgCnJn31d/HYK+KDP9lESU3rS+qbDcEYHM UGIEiGN2BeqKb9DSq30cQA== 0000950134-03-013402.txt : 20031009 0000950134-03-013402.hdr.sgml : 20031009 20031009172749 ACCESSION NUMBER: 0000950134-03-013402 CONFORMED SUBMISSION TYPE: SC 13D/A PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20031009 GROUP MEMBERS: FIRST RESERVE FUND VIII LP GROUP MEMBERS: FIRST RESERVE GP VIII LP SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: CHICAGO BRIDGE & IRON CO N V CENTRAL INDEX KEY: 0001027884 STANDARD INDUSTRIAL CLASSIFICATION: CONSTRUCTION SPECIAL TRADE CONTRACTORS [1700] IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: SC 13D/A SEC ACT: 1934 Act SEC FILE NUMBER: 005-52337 FILM NUMBER: 03935672 BUSINESS ADDRESS: STREET 1: P O BOX 74658 CITY: 1075 AD AMSTERDAM STATE: P8 ZIP: 00000 MAIL ADDRESS: STREET 1: POLARISAVENUE 31 STREET 2: 2132 JH HOOFDORP CITY: THE NETHERLANDS FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: FIRST RESERVE CORP CENTRAL INDEX KEY: 0001041828 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: SC 13D/A BUSINESS ADDRESS: STREET 1: ONE LAFAYETTE PLACE STREET 2: THIRD FLOOR CITY: GREENWICH STATE: CT ZIP: 06830 BUSINESS PHONE: 303-661-6601 MAIL ADDRESS: STREET 1: ONE LAFAYETTE PLACE STREET 2: THIRD FLOOR CITY: GREENWICH STATE: CT ZIP: 06830 SC 13D/A 1 d09523a4sc13dza.txt AMENDMENT NO. 4 TO SCHEDULE 13D SCHEDULE 13D/A (Rule 13d-101) SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 Under the Securities Exchange Act of 1934 Amendment No. 4 Chicago Bridge & Iron Company N.V. - -------------------------------------------------------------------------------- (Name of Issuer) Common Stock, par value Euro 0.01 per share - -------------------------------------------------------------------------------- (Title of Class of Securities) N19808109 - -------------------------------------------------------------------------------- (CUSIP Number) Thomas R. Denison - First Reserve Corporation, One Lafayette Place, Greenwich, CT 06830, (203) 625-2520 - -------------------------------------------------------------------------------- (Name, Address and Telephone Number of Person Authorized to Receive Notices and Communications) October 8, 2003 - -------------------------------------------------------------------------------- (Date of Event which Requires Filing of this Statement) If the filing person has previously filed a statement on Schedule 13G to report the acquisition which is the subject of this Schedule 13D, and is filing this schedule because of Rule 13d-1(e), 13d-1(f) or 13d-1(g), check the following box. [ ] Note: Schedules filed in paper format shall include a signed original and five copies of the schedule, including all exhibits. See Rule 13d-7(b) for other parties to whom copies are to be sent. *The remainder of this cover page shall be filled out for a reporting person's initial filing on this form with respect to the subject class of securities, and for any subsequent amendment containing information which would alter disclosures provided in a prior cover page. The information required on the remainder of this cover page shall not be deemed to be "filed" for the purpose of Section 18 of the Securities Exchange Act of 1934 ("Act") or otherwise subject to the liabilities of that section of the Act but shall be subject to all other provisions of the Act (however, see the Notes). - ------------------------ ------------------------ CUSIP No. N19808109 SCHEDULE 13D Page 2 of 9 Pages - ------------------------ ------------------------ - -------------------------------------------------------------------------------- 1 NAME OF REPORTING PERSON S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON First Reserve Corporation I.R.S. No.: 06-1210123 - -------------------------------------------------------------------------------- 2 CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP* (a) [X] (b) [ ] - -------------------------------------------------------------------------------- 3 SEC USE ONLY - -------------------------------------------------------------------------------- 4 SOURCE OF FUNDS* N/A - -------------------------------------------------------------------------------- 5 CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEMS 2(d) OR 2(e) [ ] - -------------------------------------------------------------------------------- 6 CITIZENSHIP OR PLACE OF ORGANIZATION Delaware - -------------------------------------------------------------------------------- 7 SOLE VOTING POWER NUMBER OF SHARES 0 BENEFICIALLY ------------------------------------------------------ OWNED BY 8 SHARED VOTING POWER EACH REPORTING 6,270,595 PERSON ------------------------------------------------------ WITH 9 SOLE DISPOSITIVE POWER 0 ------------------------------------------------------ 10 SHARED DISPOSITIVE POWER 6,270,595 - -------------------------------------------------------------------------------- 11 AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON 6,270,595 - -------------------------------------------------------------------------------- 12 CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES* [ ] - -------------------------------------------------------------------------------- 13 PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW 11 13.65% - -------------------------------------------------------------------------------- 14 TYPE OF REPORTING PERSON* CO - -------------------------------------------------------------------------------- *SEE INSTRUCTIONS BEFORE FILLING OUT! INCLUDE BOTH SIDES OF THE COVER PAGE, RESPONSES TO ITEMS 1-7 (INCLUDING EXHIBITS) OF THE SCHEDULE, AND THE SIGNATURE ATTESTATION. - ------------------------ ------------------------ CUSIP No. N19808109 SCHEDULE 13D Page 3 of 9 Pages - ------------------------ ------------------------ - -------------------------------------------------------------------------------- 1 NAME OF REPORTING PERSON S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON First Reserve Fund VIII, L.P. I.R.S. No.: 06-1507364 - -------------------------------------------------------------------------------- 2 CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP* (a) [X] (b) [ ] - -------------------------------------------------------------------------------- 3 SEC USE ONLY - -------------------------------------------------------------------------------- 4 SOURCE OF FUNDS* OO - -------------------------------------------------------------------------------- 5 CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEMS 2(d) OR 2(e) [ ] - -------------------------------------------------------------------------------- 6 CITIZENSHIP OR PLACE OF ORGANIZATION Delaware - -------------------------------------------------------------------------------- 7 SOLE VOTING POWER NUMBER OF SHARES 0 BENEFICIALLY ------------------------------------------------------ OWNED BY 8 SHARED VOTING POWER EACH REPORTING 6,270,595 PERSON ------------------------------------------------------ WITH 9 SOLE DISPOSITIVE POWER 0 ------------------------------------------------------ 10 SHARED DISPOSITIVE POWER 6,270,595 - -------------------------------------------------------------------------------- 11 AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON 6,270,595 - -------------------------------------------------------------------------------- 12 CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES* [ ] - -------------------------------------------------------------------------------- 13 PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW 11 13.65% - -------------------------------------------------------------------------------- 14 TYPE OF REPORTING PERSON* PN - -------------------------------------------------------------------------------- *SEE INSTRUCTIONS BEFORE FILLING OUT! INCLUDE BOTH SIDES OF THE COVER PAGE, RESPONSES TO ITEMS 1-7 (INCLUDING EXHIBITS) OF THE SCHEDULE, AND THE SIGNATURE ATTESTATION. - ------------------------ ------------------------ CUSIP No. N19808109 SCHEDULE 13D Page 4 of 9 Pages - ------------------------ ------------------------ - -------------------------------------------------------------------------------- 1 NAME OF REPORTING PERSON S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON First Reserve GP VIII, L.P. I.R.S. No.: 06-1507318 - -------------------------------------------------------------------------------- 2 CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP* (a) [X] (b) [ ] - -------------------------------------------------------------------------------- 3 SEC USE ONLY - -------------------------------------------------------------------------------- 4 SOURCE OF FUNDS* N/A - -------------------------------------------------------------------------------- 5 CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEMS 2(d) OR 2(e) [ ] - -------------------------------------------------------------------------------- 6 CITIZENSHIP OR PLACE OF ORGANIZATION Delaware - -------------------------------------------------------------------------------- 7 SOLE VOTING POWER NUMBER OF SHARES 0 BENEFICIALLY ------------------------------------------------------ OWNED BY 8 SHARED VOTING POWER EACH REPORTING 6,270,595 PERSON ------------------------------------------------------ WITH 9 SOLE DISPOSITIVE POWER 0 ------------------------------------------------------ 10 SHARED DISPOSITIVE POWER 6,270,595 - -------------------------------------------------------------------------------- 11 AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON 6,270,595 - -------------------------------------------------------------------------------- 12 CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES* [ ] - -------------------------------------------------------------------------------- 13 PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW 11 13.65% - -------------------------------------------------------------------------------- 14 TYPE OF REPORTING PERSON* PN - -------------------------------------------------------------------------------- *SEE INSTRUCTIONS BEFORE FILLING OUT! INCLUDE BOTH SIDES OF THE COVER PAGE, RESPONSES TO ITEMS 1-7 (INCLUDING EXHIBITS) OF THE SCHEDULE, AND THE SIGNATURE ATTESTATION. This Amendment No. 4 to the statement on Schedule 13D originally filed on January 8, 2001, as amended on February 8, 2001, July 2, 2003 and July 10, 2003 (the "Statement"), is filed by First Reserve Fund VIII, L.P. ("Fund VIII"), First Reserve GP VIII, L.P. ("GP VIII"), and First Reserve Corporation ("First Reserve," and together with Fund VIII and GP VIII, the "Reporting Persons") and relates to the Common Stock, par value Euro 0.01 per share (the "Common Stock"), of Chicago Bridge & Iron Company N.V., a Company organized under the laws of the Netherlands (the "Issuer" or "CB&I"). That Schedule 13D is hereby amended as set forth below. ITEM 5. INTEREST IN SECURITIES OF THE ISSUER. Item 5 is hereby deleted in its entirety and replaced with the following: As of October 8, 2003, the Reporting Persons beneficially owned an aggregate of 6,270,595 shares of Common Stock, constituting approximately 13.65% of the Common Stock outstanding based on 45,940,399 shares of Common Stock outstanding as of July 31, 2003, as reported in CB&I's periodic report filed on Form 10-Q on August 14, 2003. (a) As of the date hereof, the Reporting Persons are the beneficial owners of CB&I Common Stock in the numbers and percentages set forth in the table below:
NUMBER OF SHARES BENEFICIALLY PERCENTAGE REPORTING PARTY OWNED OF CLASS --------------- ---------------- ---------- Fund VIII (1) 6,270,595(2) 13.65% GP VIII (1) 6,270,595(2) 13.65% First Reserve (1) 6,270,595(2) 13.65%
(1) GP VIII is the general partner of Fund VIII and may be deemed to beneficially own the shares of Common Stock owned by Fund VIII. First Reserve, as the general partner of GP VIII may be deemed to beneficially own all of the shares of Common Stock owned by Fund VIII and GP VIII. (2) Consists of 6,310,895 shares of Common Stock held directly by Fund VIII, 4,000 shares of Common Stock underlying stock options issued to Ben Guill with an exercise price of $14.85, 4,000 shares of Common Stock underlying stock options issued to Ben Guill with an exercise price of $16.025, and 2,200 shares held by Ben Guill. The option shares issued to Mr. Guill and the shares held by Mr. Guill were issued to Mr. Guill in his capacity as a director of CB&I. Fund VIII may be deemed to share dispositive and voting control over the 8,000 shares underlying the options issued to Mr. Guill and the 2,200 shares held by Mr. Guill. (b) Fund VIII shares with its general partner the power to vote or to direct the vote of the shares directly held by it. GP VIII, as the general partner of Fund VIII, and First Reserve, in its role as general partner of GP VIII, shares with Fund VIII the power to cause Fund VIII to dispose of or vote the shares of Common Stock directly held by Fund VIII. (c) During the past 60 days, the following transactions were effected: 5
REPORTING NUMBER OF PARTY DATE SHARES PRICE TRANSACTION - --------- ---- --------- ----- ----------- Fund VIII 9/25/03 900 $28.10 Common sold Fund VIII 9/25/03 100 $28.08 Common sold Fund VIII 9/25/03 700 $28.07 Common sold Fund VIII 9/25/03 100 $28.06 Common sold Fund VIII 9/25/03 10,100 $28.05 Common sold Fund VIII 9/25/03 300 $28.07 Common sold Fund VIII 9/25/03 100 $28.06 Common sold Fund VIII 9/25/03 12,700 $28.05 Common sold Fund VIII 9/25/03 10,000 $28.00 Common sold Fund VIII 9/25/03 400 $27.90 Common sold Fund VIII 9/25/03 7,100 $27,90 Common sold Fund VIII 9/25/03 7,500 $27.90 Common sold Fund VIII 9/25/03 5,000 $27.99 Common sold Fund VIII 9/25/03 5,000 $27.98 Common sold Fund VIII 9/25/03 4,600 $28.00 Common sold Fund VIII 9/25/03 5,000 $27.95 Common sold Fund VIII 9/25/03 400 $28.00 Common sold Fund VIII 9/25/03 200 $28.03 Common sold Fund VIII 9/25/03 4,800 $28.00 Common sold Fund VIII 9/25/03 600 $27.94 Common sold Fund VIII 9/25/03 400 $27.93 Common sold Fund VIII 9/25/03 9,000 $27.92 Common sold Fund VIII 9/25/03 5,000 $27.99 Common sold Fund VIII 9/25/03 200 $27.92 Common sold
6 Fund VIII 9/25/03 9,800 $27.90 Common sold Fund VIII 9/26/03 300 $27.70 Common sold Fund VIII 9/26/03 400 $27.66 Common sold Fund VIII 9/26/03 400 $27.60 Common sold Fund VIII 9/26/03 2,000 $27.52 Common sold Fund VIII 9/26/03 900 $27.51 Common sold Fund VIII 9/26/03 1,400 $27.50 Common sold Fund VIII 9/26/03 100 $27.48 Common sold Fund VIII 9/26/03 1,000 $27.45 Common sold Fund VIII 9/26/03 2,200 $27.50 Common sold Fund VIII 9/26/03 200 $27.48 Common sold Fund VIII 9/26/03 5,200 $27.05 Common sold Fund VIII 9/26/03 300 $27.06 Common sold Fund VIII 9/26/03 100 $27.09 Common sold Fund VIII 9/26/03 500 $27.25 Common sold Fund VIII 9/26/03 100 $27.16 Common sold Fund VIII 9/26/03 100 $27.17 Common sold Fund VIII 9/26/03 200 $27.16 Common sold Fund VIII 9/26/03 9,600 $27.15 Common sold Fund VIII 9/26/03 5,000 $27.05 Common sold Fund VIII 9/26/03 200 $27.00 Common sold Fund VIII 9/26/03 1,000 $26.75 Common sold Fund VIII 9/26/03 4,000 $26.70 Common sold Fund VIII 9/26/03 5,000 $26.60 Common sold Fund VIII 9/26/03 2,000 $27.00 Common sold
7 Fund VIII 9/26/03 1,100 $27.10 Common sold Fund VIII 9/26/03 500 $27.00 Common sold Fund VIII 9/26/03 100 $27.02 Common sold Fund VIII 9/26/03 1,100 $27.10 Common sold Fund VIII 9/26/03 100 $27.15 Common sold Fund VIII 9/26/03 300 $27.20 Common sold Fund VIII 9/26/03 4,600 $27.25 Common sold Fund VIII 9/26/03 2,100 $27.40 Common sold Fund VIII 9/26/03 1,000 $27.28 Common sold Fund VIII 9/26/03 100 $27.30 Common sold Fund VIII 9/26/03 200 $27.29 Common sold Fund VIII 9/26/03 6,600 $27.27 Common sold Fund VIII 9/26/03 1,500 $27.35 Common sold Fund VIII 9/26/03 300 $27.30 Common sold Fund VIII 9/26/03 500 $27.35 Common sold Fund VIII 9/26/03 800 $27.31 Common sold Fund VIII 9/26/03 500 $27.41 Common sold Fund VIII 9/26/03 200 $27.35 Common sold Fund VIII 9/26/03 100 $27.27 Common sold Fund VIII 9/26/03 1,100 $27.25 Common sold Fund VIII 9/26/03 800 $27.30 Common sold Fund VIII 9/26/03 300 $27.21 Common sold Fund VIII 9/26/03 300 $27.20 Common sold Fund VIII 9/26/03 5,000 $27.21 Common sold Fund VIII 9/29/03 1,500 $26.75 Common sold
8 Fund VIII 9/29/03 1,100 $26.78 Common sold Fund VIII 9/29/03 200 $26.83 Common sold Fund VIII 9/29/03 4,000 $26.80 Common sold Fund VIII 9/29/03 600 $26.88 Common sold Fund VIII 9/29/03 300 $26.82 Common sold Fund VIII 9/29/03 10,800 $26.90 Common sold Fund VIII 9/29/03 1,700 $26.85 Common sold Fund VIII 9/29/03 1,100 $26.84 Common sold Fund VIII 9/29/03 100 $26.83 Common sold Fund VIII 9/29/03 1,000 $26.81 Common sold Fund VIII 9/29/03 2,000 $26.77 Common sold Fund VIII 9/29/03 200 $26.76 Common sold Fund VIII 9/29/03 600 $26.96 Common sold Fund VIII 9/29/03 1,200 $27.02 Common sold Fund VIII 9/29/03 1,800 $26.97 Common sold Fund VIII 9/29/03 3,000 $26.98 Common sold Fund VIII 9/29/03 1,000 $26.94 Common sold Fund VIII 9/29/03 100 $26.87 Common sold Fund VIII 9/29/03 800 $26.92 Common sold Fund VIII 9/29/03 2,000 $26.95 Common sold Fund VIII 9/29/03 100 $26.91 Common sold Fund VIII 9/29/03 1,000 $27.07 Common sold Fund VIII 9/29/03 3,100 $27.00 Common sold Fund VIII 9/29/03 1,200 $26.86 Common sold Fund VIII 9/29/03 1,700 $26.89 Common sold
9 Fund VIII 9/30/03 2,200 $27.10 Common sold Fund VIII 9/30/03 9,900 $27.07 Common sold Fund VIII 9/30/03 9,300 $27.05 Common sold Fund VIII 9/30/03 700 $27.03 Common sold Fund VIII 9/30/03 4,100 $27.00 Common sold Fund VIII 9/30/03 5,000 $26.97 Common sold Fund VIII 9/30/03 300 $27.02 Common sold Fund VIII 9/30/03 2,900 $27.06 Common sold Fund VIII 9/30/03 2,800 $27.08 Common sold Fund VIII 9/30/03 1,400 $27.09 Common sold Fund VIII 9/30/03 200 $27.17 Common sold Fund VIII 9/30/03 500 $27.15 Common sold Fund VIII 9/30/03 500 $27.11 Common sold Fund VIII 9/30/03 1,400 $27.12 Common sold Fund VIII 9/30/03 3,700 $26.95 Common sold Fund VIII 9/30/03 100 $26.94 Common sold Fund VIII 9/30/03 5,000 $26.80 Common sold Fund VIII 9/30/03 600 $26.76 Common sold Fund VIII 9/30/03 1,700 $26.75 Common sold Fund VIII 9/30/03 2,000 $26.70 Common sold Fund VIII 9/30/03 600 $26.79 Common sold Fund VIII 9/30/03 2,000 $26.78 Common sold Fund VIII 9/30/03 1,300 $26.77 Common sold Fund VIII 9/30/03 900 $26.74 Common sold Fund VIII 9/30/03 1,900 $26.73 Common sold
10 Fund VIII 9/30/03 1,300 $26.72 Common sold Fund VIII 9/30/03 300 $26.69 Common sold Fund VIII 9/30/03 300 $26.65 Common sold Fund VIII 9/30/03 300 $26.68 Common sold Fund VIII 9/30/03 100 $26.67 Common sold Fund VIII 9/30/03 600 $26.60 Common sold Fund VIII 9/30/03 100 $26.57 Common sold Fund VIII 9/30/03 400 $26.55 Common sold Fund VIII 9/30/03 200 $26.52 Common sold Fund VIII 9/30/03 200 $26.51 Common sold Fund VIII 9/30/03 11,900 $26.50 Common sold Fund VIII 9/30/03 600 $26.59 Common sold Fund VIII 9/30/03 2,500 $26.58 Common sold Fund VIII 9/30/03 100 $26.53 Common sold Fund VIII 9/30/03 1,200 $26.61 Common sold Fund VIII 9/30/03 300 $26.82 Common sold Fund VIII 10/1/03 5,100 $27.03 Common sold Fund VIII 10/1/03 4,100 $27.10 Common sold Fund VIII 10/1/03 700 $27.08 Common sold Fund VIII 10/1/03 700 $27.05 Common sold Fund VIII 10/1/03 700 $27.12 Common sold Fund VIII 10/1/03 5,400 $27.09 Common sold Fund VIII 10/1/03 1,900 $27.07 Common sold Fund VIII 10/1/03 600 $27.06 Common sold Fund VIII 10/1/03 300 $27.04 Common sold
11 Fund VIII 10/1/03 1,300 $27.00 Common sold Fund VIII 10/1/03 800 $27.02 Common sold Fund VIII 10/1/03 600 $27.01 Common sold Fund VIII 10/1/03 1,200 $27.13 Common sold Fund VIII 10/1/03 5,000 $27.15 Common sold Fund VIII 10/1/03 500 $27.14 Common sold Fund VIII 10/1/03 700 $27.12 Common sold Fund VIII 10/1/03 4,300 $27.20 Common sold Fund VIII 10/1/03 400 $27.21 Common sold Fund VIII 10/1/03 500 $27.18 Common sold Fund VIII 10/1/03 1,200 $27.17 Common sold Fund VIII 10/1/03 1,500 $26.16 Common sold Fund VIII 10/1/03 3,200 $27.24 Common sold Fund VIII 10/1/03 300 $27.23 Common sold Fund VIII 10/1/03 3,000 $27.25 Common sold Fund VIII 10/1/03 900 $27.26 Common sold Fund VIII 10/1/03 100 $27.30 Common sold Fund VIII 10/1/03 3,100 $27.35 Common sold Fund VIII 10/1/03 1,900 $27.36 Common sold Fund VIII 10/2/03 300 $26.81 Common sold Fund VIII 10/2/03 900 $26.90 Common sold Fund VIII 10/2/03 300 $26.88 Common sold Fund VIII 10/2/03 2,600 $26.95 Common sold Fund VIII 10/2/03 900 $26.83 Common sold Fund VIII 10/2/03 1,000 $27.04 Common sold
12 Fund VIII 10/2/03 2,000 $26.84 Common sold Fund VIII 10/2/03 600 $26.96 Common sold Fund VIII 10/2/03 12,800 $27.00 Common sold Fund VIII 10/2/03 100 $27.02 Common sold Fund VIII 10/2/03 1,000 $27.06 Common sold Fund VIII 10/2/03 400 $26.94 Common sold Fund VIII 10/2/03 1,100 $27.01 Common sold Fund VIII 10/2/03 400 $26.82 Common sold Fund VIII 10/2/03 5,900 $26.98 Common sold Fund VIII 10/2/03 1,400 $26.97 Common sold Fund VIII 10/2/03 5,500 $26.75 Common sold Fund VIII 10/2/03 100 $26.80 Common sold Fund VIII 10/2/03 1,500 $26.79 Common sold Fund VIII 10/2/03 200 $26.86 Common sold Fund VIII 10/2/03 2,300 $26.93 Common sold Fund VIII 10/2/03 700 $27.05 Common sold Fund VIII 10/2/03 1,500 $26.77 Common sold Fund VIII 10/2/03 1,400 $26.89 Common sold Fund VIII 10/2/03 2,100 $26.78 Common sold Fund VIII 10/2/03 7,400 $26.99 Common sold Fund VIII 10/2/03 1,600 $26.87 Common sold Fund VIII 10/3/03 3,800 $26.50 Common sold Fund VIII 10/3/03 4,500 $26.52 Common sold Fund VIII 10/3/03 2,900 $26.55 Common sold Fund VIII 10/3/03 1,200 $26.67 Common sold
13 Fund VIII 10/3/03 1,000 $26.68 Common sold Fund VIII 10/3/03 2,700 $26.75 Common sold Fund VIII 10/3/03 200 $26.77 Common sold Fund VIII 10/3/03 1,700 $26.78 Common sold Fund VIII 10/3/03 3,500 $26.79 Common sold Fund VIII 10/3/03 400 $26.80 Common sold Fund VIII 10/3/03 100 $26.89 Common sold Fund VIII 10/3/03 300 $26.93 Common sold Fund VIII 10/3/03 300 $26.95 Common sold Fund VIII 10/3/03 100 $26.98 Common sold Fund VIII 10/3/03 1,200 $26.99 Common sold Fund VIII 10/3/03 1,600 $27.04 Common sold Fund VIII 10/3/03 100 $27.05 Common sold Fund VIII 10/3/03 100 $27.07 Common sold Fund VIII 10/3/03 200 $26.84 Common sold Fund VIII 10/3/03 800 $26.85 Common sold Fund VIII 10/3/03 200 $26.92 Common sold Fund VIII 10/3/03 500 $26.94 Common sold Fund VIII 10/3/03 700 $27.09 Common sold Fund VIII 10/3/03 800 $26.51 Common sold Fund VIII 10/3/03 300 $27.02 Common sold Fund VIII 10/3/03 400 $26.51 Common sold Fund VIII 10/3/03 700 $26.65 Common sold Fund VIII 10/3/03 700 $27.00 Common sold Fund VIII 10/3/03 1,000 $27.05 Common sold
14 Fund VIII 10/3/03 1,500 $26.70 Common sold Fund VIII 10/6/03 1,000 $26.25 Common sold Fund VIII 10/6/03 1,300 $26.30 Common sold Fund VIII 10/6/03 400 $26.35 Common sold Fund VIII 10/6/03 500 $26.10 Common sold Fund VIII 10/6/03 100 $26.11 Common sold Fund VIII 10/6/03 200 $26.16 Common sold Fund VIII 10/6/03 600 $26.25 Common sold Fund VIII 10/6/03 1,400 $26.31 Common sold Fund VIII 10/6/03 1,300 $26.30 Common sold Fund VIII 10/6/03 400 $26.30 Common sold Fund VIII 10/6/03 300 $26.13 Common sold Fund VIII 10/6/03 600 $26.15 Common sold Fund VIII 10/6/03 700 $26.16 Common sold Fund VIII 10/6/03 300 $26.17 Common sold Fund VIII 10/6/03 500 $26.18 Common sold Fund VIII 10/6/03 600 $26.04 Common sold Fund VIII 10/6/03 200 $26.10 Common sold Fund VIII 10/6/03 100 $26.13 Common sold Fund VIII 10/6/03 400 $26.04 Common sold Fund VIII 10/6/03 200 $26.05 Common sold Fund VIII 10/7/03 200 $26.04 Common sold Fund VIII 10/7/03 100 $26.08 Common sold Fund VIII 10/7/03 1,200 $26.05 Common sold Fund VIII 10/7/03 400 $26.09 Common sold
15 Fund VIII 10/7/03 700 $26.11 Common sold Fund VIII 10/7/03 5,000 $26.08 Common sold Fund VIII 10/7/03 19,700 $26.04 Common sold Fund VIII 10/7/03 300 $26.05 Common sold Fund VIII 10/7/03 14,600 $26.04 Common sold Fund VIII 10/8/03 12,200 $26.04 Common sold Fund VIII 10/8/03 3,300 $26.04 Common sold Fund VIII 10/8/03 1,000 $26.10 Common sold Fund VIII 10/8/03 100 $26.18 Common sold Fund VIII 10/8/03 100 $26.17 Common sold Fund VIII 10/8/03 600 $26.15 Common sold Fund VIII 10/8/03 300 $26.11 Common sold Fund VIII 10/8/03 300 $26.12 Common sold Fund VIII 10/8/03 400 $26.14 Common sold Fund VIII 10/8/03 3,200 $26.18 Common sold Fund VIII 10/8/03 600 $26.17 Common sold Fund VIII 10/8/03 1,100 $26.15 Common sold Fund VIII 10/8/03 4,300 $26.12 Common sold Fund VIII 10/8/03 300 $26.13 Common sold Fund VIII 10/8/03 300 $26.15 Common sold Fund VIII 10/8/03 300 $26.13 Common sold Fund VIII 10/8/03 1,400 $26.17 Common sold Fund VIII 10/8/03 1,200 $26.16 Common sold Fund VIII 10/8/03 700 $26.13 Common sold Fund VIII 10/8/03 300 $26.12 Common sold
16 Fund VIII 10/8/03 1,000 $26.15 Common sold Fund VIII 10/8/03 100 $26.14 Common sold Fund VIII 10/8/03 800 $26.16 Common sold Fund VIII 10/8/03 1,200 $26.17 Common sold Fund VIII 10/8/03 100 $26.14 Common sold Fund VIII 10/8/03 200 $26.25 Common sold Fund VIII 10/8/03 300 $26.23 Common sold Fund VIII 10/8/03 200 $26.21 Common sold Fund VIII 10/8/03 1,800 $26.20 Common sold Fund VIII 10/8/03 700 $26.22 Common sold Fund VIII 10/8/03 300 $26.19 Common sold Fund VIII 10/8/03 5,000 $26.30 Common sold Fund VIII 10/8/03 600 $26.41 Common sold Fund VIII 10/8/03 300 $26.42 Common sold Fund VIII 10/8/03 1,100 $26.39 Common sold Fund VIII 10/8/03 1,100 $26.40 Common sold Fund VIII 10/8/03 1,700 $26.38 Common sold Fund VIII 10/8/03 500 $26.37 Common sold Fund VIII 10/8/03 200 $26.36 Common sold Fund VIII 10/8/03 600 $26.35 Common sold Fund VIII 10/8/03 500 $26.34 Common sold Fund VIII 10/8/03 100 $26.26 Common sold Fund VIII 10/8/03 300 $26.27 Common sold Fund VIII 10/8/03 100 $26.24 Common sold Fund VIII 10/8/03 400 $26.25 Common sold
17 Fund VIII 10/8/03 1,300 $26.33 Common sold Fund VIII 10/8/03 1,100 $26.31 Common sold Fund VIII 10/8/03 1,000 $26.29 Common sold Fund VIII 10/8/03 900 $26.28 Common sold Fund VIII 10/8/03 200 $26.25 Common sold Fund VIII 10/8/03 1,500 $26.20 Common sold Fund VIII 10/8/03 500 $26.18 Common sold Fund VIII 10/8/03 500 $26.19 Common sold Fund VIII 10/8/03 300 $26.15 Common sold Fund VIII 10/8/03 200 $26.21 Common sold Fund VIII 10/8/03 100 $26.14 Common sold Fund VIII 10/8/03 700 $26.12 Common sold Fund VIII 10/8/03 800 $26.43 Common sold Fund VIII 10/8/03 1,500 $26.42 Common sold Fund VIII 10/8/03 100 $26.32 Common sold Fund VIII 10/8/03 800 $26.24 Common sold
(d) To the best knowledge of the Reporting Persons, no other person has the right to receive, or the power to direct the receipt of dividends from, or the power to direct the receipt of proceeds of the sale of the shares of Common Stock owned by the Reporting Persons. 18 SIGNATURE After reasonable inquiry and to the best of my knowledge and belief, I certify that the information set forth in this Statement is true, complete and correct. Dated: October 9, 2003. FIRST RESERVE FUND VIII, L.P. By: First Reserve GP VIII, L.P., General Partner By: First Reserve Corporation, General Partner By: /s/ Thomas R. Denison ---------------------------- Name: Thomas R. Denison Title: Managing Director FIRST RESERVE GP VIII, L.P. By: First Reserve Corporation, General Partner By: /s/ Thomas R. Denison ---------------------------- Name: Thomas R. Denison Title: Managing Director FIRST RESERVE CORPORATION By: /s/ Thomas R. Denison -------------------------------- Name: Thomas R. Denison Title: Managing Director 19
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