Hello All:
Wondered if anyone else had this happen. I am tracking a Canadian mutual fund. I enter the values of the daily quotes by hand as I am not able to find a website where I can automatically download the values.
Today I was updating the quotes (daily) for the last month or so. When I refreshed the program, the holdings page indicates that the value of the mutual fund is a negative $25K on the 11th and that this is a capital gain (loss in this case, with the number highlighted in red) I have quotes for the mutual fund for that day and each business day after that date when the markets were open. Anyone else run into this issue? What have I done wrong here?
Thanks
Darren
Comments
Thanks for the suggestion. Unfortunately, there are already quotes in place for the day before, and the day before that...and still the problem persists.
Darren
Thanks
thanks
Quotes for that mutual fund end at december 6, 2019 in psdata\quotes.csv. How do i repair that?