hi, I am new to this software.
i need some help to understand:
1. how do i create a portfolio with an initial cash balance of $10,000?
2. after creating the initial cash balance of $10,000, and i have a buy trade, how do i get the software to recognize this buy trade value, and deduct accordingly?
3. when there is a sell trade, how do i instruct the software to divert the fund into the cash balance?
4. or when there is a withdrawal, how do i instruct the software to reduce cash balance?
5. any dividend distribution, how do i instruct the software to divert the cash dividend into the cash balance.
thank you very much.