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can I ask a noob question.... I sold all of my careplus shares and bought it back yesterday at 3.26... why is my maybank trade account showing that my weighted average cost of careplus is 3.35
my rakuten also have similar case, 2 times some more, but in the end the unrealized and realized profit/loss is same so i didnt care much, but good also since remisier can set for u
Maybank system is a little screwed up. For example, If you sell earlier purchase and buy same day, it will net off the same day transactions as “day trade loss” even thought your earlier price was much lower and supposed to be profit....it’s a defect.