Hi Mark,
I am having an issue with the % displayed along the Right Axis when reviewing my Investment Funds using an Investment Share-Price Graph. I have invested twice in the same fund, the "MS Global Opportunity", using two different classes, CLASS A (with higher commissions) and Class I aka "CLEAN" (with lower commissions).
When I plot the YTD share price graphs, in both of them I get very similar NAVs for 1/1/21 and also for 3/9/21, since the YTD return is more or less a 2% in both cases. However, when I look at the right axis scale, the % return shown is correct for the CLEAN Class (2%), but incorrect for the CLASS A fund, showing a 13% change YTD instead.
Here are the two screenshots. I am also attaching them in case they render too small to visualize.
Any idea of why this happens and how I can fix it?
Thank you,
Oscar