Hi Mark,
I have some securities that I bought a long time ago and sold a few years back. Now I have purchased them again several years later. When I do a graph of Price + Distributions, it sets the cost basis all the way back to the first purchase. Even if I set the time frame to just include the recent purchase, it computes the gain/loss as though I never sold it. 'Doh!
It appears that I purchased the security at a 70% loss! How do I "reset the clock" to the most recent purchase? It does not seem to do it for every security.
Thank you for providing and supporting Fund Manager.
Wishing you good health and happiness,
Homer