Hi Stefano,
Am 16.08.23 um 17:12 schrieb Stefano Mihai Canta:
> Thank you, Andreas!
>
> I am running a small example, how do I get reinvested dividends to show
> up in the charts? If I split up the dividend transaction so that the
> dividend amount goes into the cash account first and then from the cash
> account to the commodity, I get the dividend amount to show up in the
> beangrow chart, but not when the dividend is reinvested directly into
> the commodity.
>
> 2023-06-23 * "reinvest" "[VTSAX] Vanguard Total Stock Market Index Fund"
> Assets:Investments:Retirement:VTSAX 0.878 VTSAX {105.48974943052393 USD}
> Income:Retirement:Investments:VTSAX:Dividend -92.62 USD
>
> vs
>
> 2023-06-23 * "reinvest" "[VTSAX] Vanguard Total Stock Market Index Fund"
> Assets:Investments:Retirement:VTSAX 0.878 VTSAX {105.48974943052393 USD}
> Assets:Investments:Retirement:Cash -92.62 USD
>
> 2023-06-23 * "reinvest" "[VTSAX] Vanguard Total Stock Market Index Fund"
> Assets:Investments:Retirement:Cash 92.62 USD
> Income:Retirement:Investments:VTSAX:Dividend -92.62 USD
>
> Thoughts?
I think the second way is the correct way. If it is a distributing ETF,
the dividends will be paid out to your cash account first, and then you
have to create a new transaction to buy more shares.
You can use
1980-05-12 custom "fava-extension" "fava_portfolio_returns" "{
'beangrow_config': 'beangrow.pbtxt',
'beangrow_debug_dir': 'debug',
}"
to instruct beangrow to write debug files to the debug folder.
https://beancount.github.io/docs/calculating_portolio_returns.html#handling-transactions-using-the-signature
explains how beangrow is categorizing and handling transactions.
Cheers,
Andreas
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