If I elect to use the average cost method for covered and uncovered shares, how will Vanguard determine which shares are being sold?
Related Questions
- If I use the average cost method for computing basis of mutual fund shares upon sale, how do I determine the holding period for those shares?
- If I use an average basis method for computing basis of mutual fund shares upon sale, how do I determine the holding period for those shares?
- What average price per share was used to determine the number of shares I received?