Hi Mark,
For a few months now I've noticed that the share count retrieved from my Scottrade default cash account (really a margin account) is double the value that FM shows. Example, FM says -1000, Scottrade retrieval says -2000, difference 1000. Scottrade cash balance shows correctly on monthly statements, as well as on their website and trading platform, and agrees with the figure I show in FM. All other retrieved share counts are correct, as are all retrieved reconciliations from my Fidelity portfolio; seems to only affect my Scottrade portfolio default cash account.
I've ignored this anomaly for a while, but am now wondering if there's some easy fix, either on my end or on yours.
Thanks,