Is there an easy way to pull the cost basis for a list of mutual funds I own? I do not see this as a column on the reports or as a field when trying to create a custom report. (I was looking for something named "Cost Basis"; maybe it is stored under another name?)
Background and context: I recently transferred funds and securities from one broker to another. The cost basis of dividends were not treated correctly by the sending broker and I am trying to adjust it at the new broker. (Sending broker treated reinvested dividends as reinvested dividends until the last year or so when it started sending the transactions as distributions and buys)