Hi Mark, (new user here getting familiar with the program...)
I notice a "Income Tab" on all investment properties dialogs... It is associated with a particular investment holding. Example might own/track a MLP Pipeline holding; say, KYN symbol (Kayne Anderson, MLP). One could own KYN in multiple portfolios within FM... It pays quarterly... Some pay monthly... some pay annually, etc.
Do I need to repeat the tab's data entries in every account/sub-portfolio where the holding resides? For a holding that might pay monthly, and be held in 3 or 4 accounts, that is a WHOLE lot of data entry... 1/12 the annual payout in each of 12 months X the number of places the equity is held... Am I missing something easy here?
There are other dialog check boxes on this tab that allow attributes to populated across multiple accounts; like Asset Class, Investment Goal, etc... I don't see a check box to populate Dividend expectations using the same symbol over multiple accounts...
Thanks, BJ/Clivusmul