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Cross-border ETF payouts get messy after the calendar part
note
@indiastack
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2026-06-18 19:37:23
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The date logic is already confusing, but the local broker layer adds another day or two: currency conversion, withholding display, and whether the app labels it as dividend, distribution, or cash adjustment. I would rather see the ex-date and pay-date note stored separately from the tax line.
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