Hi..I'm just trying out FundManager so plz bear with me if this is just something I haven't figured out how to do correctly yet..
I've entered a bunch of 2015 transactions in a Sub-Portfolio (My 401K) of a higher level Portfolio (Retirement), all of which are Mutual Fund entries.
I can see the individual funds listed in the pane to the right side of the Portfolio Editor (where it shows fund name, symbol, price, shares, etc) - but the price column is not showing the latest value that I've retrieved from the 'net. I even tried to manually update to both Friday's close price and that didn't work - so tried entering today (2/8) as the close price. No luck with either.
As an example - for PMEGX (T. Rowe Price Mid-Cap), the price should be 43.87 as of 2/6. Instead of showing 43.87, the Portfolio Editor window shows the price as 42.35 - which it was on 1/30, when my most recent transaction was entered.
It looks like the program is grabbing the last transaction amount vs the current price. What's weird is that this is only happening with SOME of the funds. Others are right.
Since the "Value" column is price * shares, the Portfolio Editor is showing the wrong value of my fund.
If anyone has any ideas what I might be doing wrong, I'd appreciate it - I've spent at least an hour trying to figure this out and am getting nowhere fast.
Thx -
Jim