01 August 2022
If I am getting multiple stock units of RSU/ESPP for sometime. Those stock units also come with dividends. I have done multiple sell transactions and also have couple of buy transactions.
Can I just have a single entry in schedule FA showing my entire holding in the company or I need different entries for each transactions like buy, sell? Wouldn't finding peak values, intial date and which stock where I got the dividend would be a tedious task?
Also, for ESPP what should be the value of "Total gross amount paid/credited with respect to the holding" field?