You signed in with another tab or window. Reload to refresh your session.You signed out in another tab or window. Reload to refresh your session.You switched accounts on another tab or window. Reload to refresh your session.Dismiss alert
Add optional valuation_id variable to equity compensation issuances. This variable would reference the id of the valuation object in the Valuations file.
Why is this Needed?
This is needed to reduce ambiguity about the FMV of an option grant for calculating NSO / ISO
Anything else we need to know?
See conversation on NSO / ISO splits in issue #504
The text was updated successfully, but these errors were encountered:
We should also add a natural language rule that if a valuation_id isn't provided, then we assume for purposes of the ISO NSO Calculator that the fair market value as of the grant date is equal to the exercise price.
Description of Enhancement :
Add optional valuation_id variable to equity compensation issuances. This variable would reference the id of the valuation object in the Valuations file.
Why is this Needed?
This is needed to reduce ambiguity about the FMV of an option grant for calculating NSO / ISO
Anything else we need to know?
See conversation on NSO / ISO splits in issue #504
The text was updated successfully, but these errors were encountered: