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Retieving Fidelity Cash Reserve Account NAV
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I just realized that when I retrieve the Net Assest Value (NAV) for a Fidelity Cash Reserve Fund (FDRXX) the "close" price records the "7-Day yield". So, for example, today it records 3.38 for the "close" NAV instead of 1. Other than not downloading the NAV, is there a fix for this?
Hi RandyRadar,
By default, cash type investments are set not to retrieve prices. It sounds like you just need to modify your cash investment's properties. Go to "Investment Properties... / Internet Retrieve" and turn off the option to retrieve prices. You can use the data register to edit or just delete all the wrong pricing data.
2 posts
• Page 1 of 1
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