by Mark » Mon Jul 05, 2010 9:01 am
Hi shalam,
Regarding the graph, when you select a portfolio to overlay, it just plots that total portfolio, which includes everything in your portfolio. If you have a cash account set up, and your money is going into/out of cash when you sell, that will all be factored in. This graph is not intended to show you how each stock within a given portfolio performed, it is meant to compare you overall portfolio to a benchmark or index of your choosing.
It is usually best to use a default cash account when your account has one, which is probably the case with a brokerage account at TD Ameritrade. If you retrieve using the new portfolio wizard, your default cash account should hopefully be included in the download. If you've already used the new portfolio wizard, and want to set it up afterwards, you can either manually create a cash investment and assign it, or you could reconcile your account, and create a new investment to match the un-balanced cash amount reported.
1) Manually creating: Use "File / New Investment..." and create a cash investment, with a share price of 1 and the number of shares equal to the value. Any deposits/withdrawals all happen at a price of 1 and shares equal to value. After creating the investment, right mouse click on your sub-portfolio, and choose "Properties..." to select the default cash account for that sub-portfolio. Select the just created cash investment. Once the cash account is assigned, any future monies used/generated from buys, sells, distributions will automatically go into, or come out of that default cash account.
2) Reconciling. Right mouse click on your sub-portfolio, and choose "Reconcile...". Retrieve the statement source from your broker, and press "Next". You'll get a list of any un-balanced investments. Select the cash (assuming it shows up), and choose the "Edit..." button. If you don't have a matching investment for that cash, FM will ask if you want to create one. Go ahead and do so, and then after reconciling follow the steps in #1 (above) to assign it as the default cash account for this sub-portfolio.