I recently purchased a security instead of selling a security with my broker. Once I realized the mistake, I sold the security a few minutes later.
The next day, after downloading the transactions from my broker, I tried to specify lots to close the buy/sell which occurred the same day. The redemptions window shows the sales transaction but the purchases window does not show the buy transaction for that date.
If I adjust the date of the purchase to the prior day, it does then show in the purchases window.
Is there a setting I need to change in order to see the purchase made the same day as the sale.
Thanks
Mark