Straight from the Retail Entitlement Offer Booklet:
Key dates:
Retail Entitlement Offer opens (9.00am, Sydney time) Tuesday, 17 November 2015New Shares under the Retail Entitlement Offer commence trading on ASX Friday, 11 December 2015
Retail Offer Booklet despatched and Retail Entitlements allotted Wednesday, 18 November 2015
Retail Entitlements commence trading on ASX on a normal settlement basis Thursday, 19 November 2015
Retail Entitlements trading on ASX ends Monday, 23 November 2015
Retail Entitlements Offer closes (5.00pm, Sydney time)1 Monday, 30 November 2015
Retail Shortfall Bookbuild Thursday, 3 December 2015
Settlement of the Retail Entitlement Offer Wednesday, 9 December 2015
Issue of New Shares under the Retail Entitlement Offer Thursday, 10 December 2015
3 dates of major importance:
1. tomorrow (Wednesday 18th November) we get allotted our STOR's which should show up in our trading accounts - commsec etrade etc.
2. next Monday (30th November) trading will cease in these STOR's.
3. if you take up your entitlements to STO shares for $3.85 through your holdings of STOR then your money needs to be in by the following Monday - the 30th of November or your STOR's will be sold at auction in a bookbuild conducted on the 3rd of December.
see 3.5.1 page 12 of Retail Offer Entitlement Booklet:
3.5.1 If you wish to take up all or part of your EntitlementNovember 2015.
If you wish to take up all or part of your Entitlement,
please either:
-complete and return the personalised Entitlement
and Acceptance Form with the requisite Application
Monies; or
-pay your Application Monies via BPAY® by following
the instructions set out on the personalised
Entitlement and Acceptance Form,
so that they are received by the Santos Share Registry,
by no later than 5.00pm (Sydney time) on Monday, 30
http://hotcopper.com.au/threads/ann-retail-entitlement-offer-booklet.2638560/#.Vkr078uheUk
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