PDFBox Version: 1.8.17
Portfolio Performance Version: 0.66.2
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FIDELITY NATIONAL INFORMATION
SERVICES
PARTICIPANT NO.
U98299884
90035485
NIK HEMMERYCKX
XjlaqpRajgteel 88 FIDELITY STOCK PLAN SERVICES, LLC
ANTWERPEN P.O. BOX 770001
BELGIUM 2000 CINCINNATI, OH 45277-0003
TELEPHONE NUMBER:(800) 544-0275
REF # 23342-0D6SVL
CUSTOMER NO. PARTICIPANT ID. TYPE REG.REP. TRADE DATE SETTLEMENT DATE TRANS NO. CUSIP NO. ORIG.
U98299884 1 000 12-08-23 12-12-23 0D6SVL 31620M106
Confirmation of purchase made through your
FIS ESPP on DEC/08/2023. PURCHASE INFORMATION
Offering period: JAN/01/2023 - DEC/31/2023 Market Value at PurchaseĀ¹ $442.83
Accumulated Contributions* $442.83
YOU PURCHASED 7.5146 AT $58.9290 PURCHASE PRICE GainĀ² $0.00
SECURITY DESCRIPTION SYMBOL: FIS EXPLANATION OF PROCEEDS
FIDELITY NATL
The shares you have acquired are subject to a "Restriction Period" in accordance with Total Gain $0.00
your company's stock plan rules. Please see your plan documents for more
information. Provided below are the dates for when the restriction on these shares will
be removed. Share Proceeds** 7.5146
Sale Availability: 06/05/2024
Transfer Availability: 06/05/2024
PLEASE RETAIN THIS STATEMENT FOR YOUR RECORDS
* Accumulated Contributions are the amount of money contributed to your Plan that is
used toward the purchase of company stock.
** Shares will be held by Fidelity Stock Plan Services on your behalf in the SPS
Participant Trust.
Ā¹ Market Value is determined under your Plan rules.
Ā² Please consult your tax advisor regarding tax treatment in your jurisdiction.
PAGE 1 OF 1 Recordkeeping and administrative services for your company's equity compensation plans are
provided by your company and its service providers.
PDFBox Version: 1.8.17
Portfolio Performance Version: 0.66.2
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PARTICIPANT NO.
U98299884
90017770
NIK HEMMERYCKX
flBJHBJAntgwOx 84
ANTWERPEN
BELGIUM 2000 FIDELITY STOCK PLAN SERVICES, LLC
P.O. BOX 770001
CINCINNATI, OH 45277-0003
TELEPHONE NUMBER:(800) 544-0275
REF # 33107-zz91lf
CUSTOMER NO. PARTICIPANT ID. TYPE REG.REP. TRADE DATE SETTLEMENT DATE TRANS NO. CUSIP NO. ORIG.
U98299884 1 WI# 07-19-22 07-21-22 KS51HX 31620M106
YOU SOLD 30 AT 96.2500
EXPLANATION OF PROCEEDS
SECURITY DESCRIPTION SYMBOL: FIS Sale Proceeds $2,887.50
FIDELITY NATL
DETAILS: Total Fees $0.07
Sale Date: JUL/19/2022
Proceeds Available: JUL/21/2022
Plan Type: COMPANY STOCK PLAN
Net Cash ProceedsĀ¹ -$2,887.43
PLEASE RETAIN THIS STATEMENT FOR YOUR RECORDS
Ā¹ Your proceeds will be held by Fidelity in your trust. Please contact Fidelity Stock Plan Services to request a distribution.
PAGE 1 OF 1 Recordkeeping and administrative services for your company's equity compensation plans are
provided by your company and its service providers.
Hallo @nikmrx
If everything is in order, this should also be included in the next release.
You decide which PDF documents should be imported.
If someone is willing to take on this task, it will be implemented promptly.
Apologies, I did not read your original post very well, and PDF debug entries are useless.
You wrote Fidelity International, and I must have read Fidelity National. My employer FISā full name is Fidelity National Information Services, and their ESPP is managed by Fidelity (fidelity.com), which is where my samples came from.