Currently the detailed gains statement does not contain the NAV at which the MF redemption took place, even though the NAV is available in the statement.
The following columns are available in the {basename}-gains-detailed.csv:
FY,Fund,ISIN,Type,Units,Purchase Date,Purchase Value,Stamp Duty,Acquisition Value,Sale Date,Sale Value,STT,LTCG Realized,LTCG Taxable,STCG
My request is to add NAV to that list.
Since adding it in the middle may break some scripts for users, perhaps it may be best to add it after STCG.
There's also a open request to add PAN to this list: #44