Hi, I have shares in a REIT…and it is setup to Divident reinvest…
When I go to add this informaton into Sharesight though…the fields don’t appear to match what is listed in Investor Centre…
Here ie the Sharesight form:
and here is what Investor Centre has…
In Investor Centre there are references to Net amount…Gross amount…Amount available for reinvestment etc.
Can anyone tell me how I should correctly enter this data into Sharesight?
Thanks!