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Questions about updating prices or transactions in Fund Manager

Postby JeanneMarie » Wed Jan 14, 2015 11:17 am

In a thread about muni bond prices, Mark wrote:The transaction retrieve and reconcile feature is based off CUSIP, so the symbol does not matter for that feature.


Hmnnnn.... I skipped cusips on stocks when I set this up. So, that's why my bond prices update but my stocks do not? Is there a painless way to get the cusips entered? All I can see is cutting and pasting individually or plowing thru all the paper confirms (which actually might be less painful).

Thanks a bunch,

Jeanne
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Postby Mark » Wed Jan 14, 2015 11:25 am

Hi Jeanne,

To update CUSIPs on existing investments there isn't a real easy way. You'd have to copy/paste from some other investment/source, or manually enter them...

You could use the New Portfolio Wizard and create a new sub-portfolio by retrieving from your broker. All the investments in that new sub-portfolio will have the CUSIP values set. You can copy/paste from them.
Thanks,
Mark
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