As an Australian investor with US holdings (and a USD portfolio setup in Sharesight) I want to enter trade dates in US date/time zone yet every date I enter in a trade/distributoin (without using the date picker) is auto-corrected to the prior day as Sharesight thinks i’m entering the Australian date whereas I’m actually entering the US date. The US date is the correct date as evidenced by correct prices suggested by Sharesight. The autocorrect is not a feature to me, it is a bug, as I am forever going to change the date back to what I originally entered.