I do not know what to call this - 'virtual' is almost certainly the wrong term. Here is what I want to do. I have a brokerage account with $N which consists of (internally for my family) of 3 sub account where X+Y+Z = N. I do not have (or want) three different brokerage accounts, but I need to keep track of X, Y & Z separately. There three sub-portfolios might invest in the same underlying securities (which means the brokerage account lumps them all together) making it difficult to track three different sub-portfolios separately.
So one way to do this is keeping a secondary log (excel spread sheet or the like). Is there a better way? Can FundManager track sub-portfolios that only exists from accounting perspective (for lack of a better way of putting it).
I know other people have this problem --- keeping track of different "pots" of money within a larger account. How do you do this? What software helps you do this?
- Henrik