Hi Mary Kennedy,
So you are retrieving from your broker?
Please note, reinvested distributions can come in as 2 separate transactions, a distributed distribution and a purchase, unless you check the option: "Record Matching Purchase/Distribution as Reinvestment" when retrieving. A distributed distribution and a purchase are equivalent to a reinvestment, but some brokers report this way. When you have on that option, Fund Manager will attempt to combine these 2 separate transactions into a reinvestment when appropriate. If a reinvestment is coming in as purchase and distribution, you can see these in the Data Register. Set the "Data Type" to "Investments (all)" to see the purchase, and "Distributions (all)" to see the distribution.
If the above paragraph doesn't explain the problem, can you give me an example (an investment name, date, amount, and type of distribution) of something not coming in correctly? For example, Janus Fund comes in with a distribution distribution of $10 on June 30, 2010, but it should be reinvested. If you can also send me the log files (ofxretr.txt, xmldump.txt, and ofxmemtrandump.txt) right after you retrieve this account for a date range covering this example, I can take a look. To find the log files, go here:
Windows XP and earlier:
C:\Documents and Settings\<username>\Application Data\Fund Manager
Windows Vista and 7:
C:\Users\<username>\AppData\Roaming\Fund Manager
The application data folder is hidden, so make sure you're viewing hidden files/folders to find this log file. You can email us this log file, instead of posting it on the forum. To get an email address to send it to, go here, and fill out any simple message.
http://www.fundmanagersoftware.com/email.html