I'm trying to get Fund Manager to update some treasury prices and keep getting errors. I've set the CUSIP as the symbol and set US Treasury as the server (as a side note: it would be nice if I could automatically set US Treasury as the server for every security of type "Treasury Bill")
An example: 9128282N9
It claims there was a problem retrieving this price, but when I check the log I see it in the returned results:
Retrieve Started at 4/28/2024 01:39 UTC
Program Version = 2024.18.2
Quote Module Version = 602
Retrieving from server: (US TREASURY)
Requesting: "9128282N9"
...
WARNING: Server used but did not update any prices: (US TREASURY)
Could not update any investments
and in the more detailed logs I see the bond in the returned data:
9128282N9,MARKET BASED NOTE,0.02125,07/31/2024,,0.000000,99.156250,0.000000
Not fully sure what's going on here. I do see that some of the securities have two prices in the second to last and third to last columns, while this bond, and some others have just one price in the second to last column