Sharesight release notes - October 2019
As always, October was a busy month for the product team with a lot going on behind the scenes. This included switching to a new continuous integration solution to speed up our build times, and undergoing a full independent security audit. Here’s the release highlights for October:
New Functionality / Enhancements
Added ‘Return of Capital’ transaction type for fixed interest investments to support bonds and notes with an amortising principal.
Improved Xero sync for AU trust distributions to ensure correct tax year alignment
Update broker import tiles with improved datepicker.
Updated price chart symbols to indicate dividend currency.
Improved open & closed positions toggle.
Broker Transaction Import
- Added support for TD Investing (Canada) Contract Notes.