Why is *manual* WACC (My Purchase Source) and My EDIS required?


Since system already should and must know when we bought, on what unit price and the fee- can’t WACC and CGT be all done by the system automatically? same for EDIS, doesn’t system know which client from which broker sold/bought the security and can’t that be auto transferred?


View on r/NepalStock by reddi7er



Disclaimer

The information provided in this article is for general informational and educational purposes only. It should not be interpreted as financial, investment, trading, or professional advice. Market data, company announcements, ratings, and analysis may contain errors, may change without notice, and should always be verified directly from official filings, regulatory disclosures, and company press releases.

Investing in the share market, IPOs, FPOs, mutual funds, insurance products, or any financial instruments carries inherent risks. Past performance does not guarantee future results. Readers are strongly encouraged to consult a licensed financial advisor, investment professional, or legal expert before making any investment decisions. This website and its authors are not responsible for any financial losses, decisions, or actions taken based on the information provided.

Scroll to Top