As per a K-1, I changed the cost basis of two securities. For one of those securities, TT correctly calculates the adjustment, for the other one, it doesn't. Help!

The "proceeds" doesn't change, it was 5.00.  But the cost basis changed from 13.00 to 2.00.  So, on the main page for the security, I clicked "there's an error in the basis."  This prompted TT to a page where I enter the correct cost basis.  I did this twice, once for each security.  For one of them, TT calculated the correct adjustment