myCostBase
CRA-ready adjusted cost base tracking for Canadian investors.
myCostBase helps Canadian investors maintain the adjusted cost base records needed for non-registered investment accounts. Instead of relying on a single broker’s account-level book value, it pools identical securities across taxable accounts and brokerages for each taxpayer, creating a dated, reviewable ledger of every ACB change.
Users can enter trades manually or import CSV history from supported Canadian brokerages. myCostBase handles purchases and sales, DRIPs, return of capital, reinvested…
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