Hi,
I tested the “enable receiving income as asset and reinvesting” function and there seems to be something wrong with the resulting balance display. See the attached screenshot, the balance was 727.951 on 24/12/2023, then on 13/12/2024 a dividend was receiving and reinvested as 14.317 new shares, then the new balance should be 727.951 + 14.317 = 742.268 ? This is from the list of transactions, if I look at the assets or positions list the quantity is corrected updated.