Hi Mark,
I have some muni bonds in my account held at E*Trade. I use the FINRA site for price retrieval while transactions are retrieved from E*Trade. The problem is that the FINRA site does not use the bond's CUSIP to retrieve the price, but the bond's CUSIP is required to retrieve transactions from E*Trade.
An example: Commonwealth of Puerto Rico Public Improvement bonds
For FINRA, the code M9391805125200 is used for price retrieval, while the bond's CUSIP, 74514LXG7 is required to retrieve the transactions from E*Trade.
I prefer to use the FINRA site for muni-bond price retrieval since I believe it to be more representative of the current value.
Is it possible to add a feature in FM to separately record a code for price retrieval and another code for transaction retrieval for any specific holding?
Thanks as always for your response.
Jim