Hi Tom.
This additional limit/control appears to be manifesting itself again in a slightly different use case. I have sold some of my ETF positions and was expecting to be able to reinvest 95% of the proceeds straight away, as I can with my ISA portfolios. However I am getting a “Something went wrong” error. I am guessing that this control is not taking into account the 95% of proceeds from sales. Can you get one of your developers to take a look at this please. I have raised a support ticket #121705, but the guys on the service desk have appeared to get the wrong end of the stick of what I was talking about as they just sent me a link to where the fee structures are explained (doh!!)