Hi Mark
I am having an issue in client portfolios which hold a REIT which occassionally has return of capital transactions. The problem I am having is when I sell shares but not the full position. I use average cost for all mutual funds. In the case of this particular fund , FM is calculating the average cost of the sold shares including the adjustment for two return of capital transactions dated AFTER the sale date of the partial position. Clearly this is not the required result as just the total cost divided by the shares owned at the time of sale should be used. What am I missing?