I have 2 portfolios both with NST stocks. The first has 20,000 shares which I purchased way back in Sept 2010. The second portfolio (SMSF) has only 5,000 which I purchased 6 months ago.
I applied for the maximum of 30K under the SPP for both portfolios. In the divvy out, I received exactly 13.48% of my present holdings for each of the portfolios.
If there was a preference system I thought I may have received a little more for the first portfolio as I have tightly held these stocks and supported the company for the last 10 years.
I did make my application electronically and within a day or so after the opening date, if this made any difference I'm not sure.
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I have 2 portfolios both with NST stocks. The first has 20,000...
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