All I could figure out was a transaction report by account, but it neglects half the fields. For instance the category is just "Investments: Realized gain or loss." In the register is tells you if it was a buy or a sale (or dividend, etc.), how many shares, new share balance for that equity, and the amount spent or recieved, etc.
These reports show none of that. They do add realized gain in the report, which isn't even a field in the register, but no clue what the total amount of the transaction was. You can't even infer buy or sale from that, nor how many shares or at what price, nor the position balance (for that you have to go to the portfolio view). How do it capture the actual register data info into a report / spreadsheet? Right now I'd like something I can analyze and manipulate - so was hoping I could export it to a CSV. Not to mention the weird column headings like "Payee" being the equity in question. This is really maddening.
And here's my goal for that info, because I'm guessing this is a head scratcher for most people casually reading this. If someone has a better idea, I'm all ears: Basically, half my portfolio is self directed and half of it is managed. For anyone with managed accounts, you know there are many small positions resulting in many transactions, and at a relatively high frequency. For one day this week I had 36 transactions in one account that was either a buy or a sale. What I'm trying to see is if I can infer a strategy when they buy and sell dozens of positions in waves. I'm trying to see if I can determine the logic for which equities are chosen, and what each equity represents in the overall account position. So, culling the transaction data as given to me would be really useful. I may not be able to learn anything from it, and that's OK, but I have the data staring right at me and I can't even use it.