Hi there, My company gives me a combination of share options (with a long vesting schedule) as well as grants of shares (also on a long vesting schedule). I'm trying to come up with a good way of entering these into ledger, so that I can keep track of the price when they vest as well as the price when I sell (for CGT calculations). I'm also given shares in USD and I live in Australia so I get AUD back.
I think I'm doing the grants "correctly" but I really can't find a good way to do the options. Anybody got any suggestions. What I'd like to do for the shares is this (The sell doesn't work): 2011-06-22 * Share award Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2011-12-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2012-06-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2012-12-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2013-06-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2013-12-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2014-06-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2014-12-25] Assets:Shares:AAPL 5 AAPL @ 10.00 USD ; [=2015-06-25] Income:Paycheck 2012-09-04 * Sell shares Assets:Checking 1105.45 AUD Assets:Checking -9.95 USD ; Transaction fee Assets:Shares:AAPL 10 AAPL @ 11.00 USD
