*****EDITED*****:
I had 185 shares of JPM for some years, received a bunch of cash dividends, sold 85 shares in 2018, and received a bunch more dividends. No reinvestments or anything fancy.
My Portfolio Editor has the right Basis and Unrealized Gain + Unrealized %Gain.
My OOP Current Gain seems appropriately robust, but my OOP Current Basis is a small negative number, and the OOP Current % Gain is "N.A." Is it NA because it's negative? And is it negative because I've earned back all of my purchase price via dividends?
I once had a report that permitted me to see the inner workings that led to the OOP numbers when I clicked on an individual security. At least I think that is so, but I cannot find it right now.
So my two closely related questions are: (1) Any tips for verifying these numbers? And (2) how can I construct the report that I think I remember (if I'm making any sense and it is possible)?
Thanks so much.