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So everything works for me.
Go to your last purchase transaction, open it, don't change anything and save it again directly. This then updates the entire position again and retrieves the split from the database.
At the latest then it should fit.

However, I don't quite understand what is meant by "stock no longer available". You should have more shares due to the split.
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The stock is displayed in my list with a 94% minus. If I go to the details, I no longer see any stock. As if I had no shares in my securities account.
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@Animizio then take a look at the transaction list. There must be something there. A sale or something.
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Yes, sales is in there, purchasing too. But the data is completely wrong, although the automatic connection is set up.
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@Animizio Then you may have pressed Update too early. If getquin already has the split active in the system, but the broker does not, then it may be that both are running and then it doesn't fit.
I would simply delete the transactions from the last few days and import them again. If that doesn't help, then contact support with screenshots of the broker and getquin.