ptax255
Level 7

Hi, in which order should the adjusted basis be applied to the new shares? The-30 days or +30 days? Does it matter?

For example, client sold 10 shares. He/she had acquired 100 shares before 30 days and 150 after 30 days. The whole loss is wash obviously, but which of the acquired shares should get a basis adjustment?

0 Cheers