Has anyone else investigated how to handle the EROAD share purchase plan allocation? Sharesight is easy because I can just manually add the shares but it’s my Aussie brokerage account that I’m puzzled by.
The shares are linked to a HIN but also have a NZ holder number. They only reflect in the NZ Computershare and not the Aussie Computershare and won’t be automatically allocated to an Aussie brokerage account. When I phoned NZ Computershare I was told to add them to my brokerage manually. But how does that work? Am I able to sell them later if I just add shares manually?