Hi Mark,
Vanguard just started charging account fees on a company retirement plan and I've had to update my generic import routine. Since they're liquidating shares to pay the fee I've used the REINV_F transaction code. The transaction import preview screen shows as reinvested fee but doesn't make the Value and Shares amounts negative -- I've had to edit them. Shouldn't that be automatic for this tran code?
Separate issue. When buying an investment that was previously sold to 0 a new investment file needs to be created. Couldn't we just pick up the old one and add transactions to it?
Happy New Year
Elliot Lipson