2021-09-07 * "FXAIX Purchase"
Assets:Investments:Taxable:IndexFunds:FXAIX 31.803 FXAIX {157.22 USD}
Assets:Investments:Cash
2021-12-10 * "FXAIX dividend reinvestment"
Assets:Investments:Taxable:IndexFunds:FXAIX 4.065 FXAIX {163.33 USD}
Assets:Investments:Cash
2022-04-08 * "FXAIX dividend reinvestment"
Assets:Investments:Taxable:IndexFunds:FXAIX 3.388 FXAIX {155.83 USD}
Assets:Investments:Cash
2022-06-16 * "FXAIX Sell"
Assets:Investments:Taxable:IndexFunds:FXAIX -31.803 FXAIX {157.22 USD} @ 127.73 USD
Assets:Investments:Taxable:IndexFunds:FXAIX -4.065 FXAIX {163.33 USD}
Assets:Investments:Taxable:IndexFunds:FXAIX -3.388 FXAIX {155.83 USD}
Assets:US:Fidelity:IndexFunds:Cash 5,014.17 USD
Income:US:Fidelity:PnL 1177.79 USD ; because of the next transaction this should be reduced by 141.90
2022-07-01 * "FXAIX dividend reinvestment" ; this caused the wash sale
Assets:Investments:Taxable:IndexFunds:FXAIX 4.812 FXAIX {162.23 USD}
Assets:Investments:Cash
2022-07-01 * "Re-adjust cost basis due to Wash Sale"
Assets:Investments:Taxable:IndexFunds:FXAIX -4.812 FXAIX {162.23 USD}
Assets:Investments:Taxable:IndexFunds:FXAIX 4.812 FXAIX {191.719 USD} ; also suppose to propagate the date?
Income:US:Fidelity:PnL:Wash -141.90 USD ; accounting for wash sale
2022-11-15 * "FXAIX Sell"
Assets:Investments:Taxable:IndexFunds:FXAIX -4.812 FXAIX {191.719 USD} @ 138.72 USD
Assets:US:Fidelity:IndexFunds:Cash 667.52 USD ; should match cash deposited from transaction
Income:US:Fidelity:PnL 113.13 USD ; loss from the transaction
Income:US:Fidelity:PnL:Wash 141.90 USD ; required to balance but results in zero'ing out PnL:Wash