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…

What do I add

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?


Hi @Mavoz, welcome to the forum!

If you haven’t already, can you reach out to our support team via the chat icon at the bottom right of the screen?

Thank you Jack…have done this…let me know if you’d prefer me to delete this reference here.

Kind regards,