I started using Fund Manager at the same time I transferred all my investment accounts to Vanguard. So the first transaction in several accounts is a "transferred in balance" with share holding counts but no associated cost.
Could you please help me understand better where to input the cost data for each transferred amount?
Below is the screen I believe I need to input the data into.
What is intended to be input into each of:
1. Top section "Transferred in": Market Value -> is this the market value at time of transfer? If so, what purpose does this serve, where is it used?
2. Top section "Transferred in": OOP Cost Value -> is this the original purchase cost only, and is to exclude all subsequent reinvestment of dividends?
3. Tax cost basis: Value --> if I'm right about #2 above, then I'm thinking this is where I put the cumulative cost of original purchase + reinvestment of dividends?
Thanks for help with these definitions.