I was wrong. You are right. The booklet (page 6) indicates that the shares are allocated on 4th Oct (but must occur after 4pm) to allow trading the new shares on the 5th.
Other documentation (e.g. p28 of the entitlement booklet) does not have the detail that page 6 has; hence my initial post.
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I was wrong. You are right. The booklet (page 6) indicates that...
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