Trade Lot Details

Trade Lot Details shows a breakdown of each lot that comprises an open position.

Open this window by right-clicking on a position in the Positions tab of your Account Detail window and selecting Adjust Cost/View Details.

Trade Lot Detail Columns
Open Date Lot purchase date
Quantity Quantity of each individual lot
Cost/Share Cost per share or contract for the lot, if available
Cost (Total) Cost basis for the lot, if available
Position Dollar Value Current market value for the lot. This is the number of shares/contracts multiplied by the current price.
P&L - Unrealized Market value less cost basis, if available.
Hold Period Indicates whether you've held the position for more or less than 365 days. Long term means you've held the position more than 365 days (one year) and is helpful in understanding the tax impact of closing the position.
Source Indicates the source of the cost basis data, whether it's from a trade, advisor, third party, etc.