The shares were sold from 1a) which is his direct holding, NOT from his superfund. The number of securities held after the change will confirm this if you cannot understand it.
Do you really believe MY would post this document stating "personal financial commitments" as his motivation, having sold shares from his superfund. I think the ATO & APRA may be keen to investigate if this was the case.
The level of commentary following my initial post is substandard, especially from posters who generally make a sensible contribution.
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