I am setting up Fund Manager to track my investments and have manually entered all relevant transactions. I am now wondering about the standard way to maintain price data. My best guess is that I would download historical prices for each investment from at least its oldest transaction date to the present by right clicking it and entering that date range. Then I would maintain them, say weekly, by selecting the master portfolio and updating historical prices with a date range of the last week. Is this the way it is normally done?
Thanks,
Ivan