Why are multiple lots for the same date generated when I reconcile a placeholder transaction?
I entered my beginning holdings balances for my 401k using Add Shares and of course the dreaded placeholder transaction appeared for each fund. I reconciled the placeholders, but now I have multiple lots for the same date (12/31/2019) for each fund. This is screwing up my holdings so I can't reconcile my 401k statement. Any one got a fix for this?