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Hello
I've been using the Account Manager and found some things that are a nuisance.
1) You MUST put all entries in date order. There is no going back and inserting. If this happens, then you must delete all entries and start again.
2) if a consolidation (scale) occurs, the only way to track this is sell and buy on execution date. The account manager updates the PnL and closes the trade and considers the new shares/price as a totally new trade. This displays trade stats incorrectly
3)For funds you can deposit/withdraw $$, but nothing available for dividends.
Stick with excel
F
--- In amibroker@xxxxxxxxxxxxxxx, "Carl Vanhaesendonck" <carl.van@xxx> wrote:
>
> Yes, good point Sidhartha- I had those items recorded into excel also and
> would be great to have them in AB.
>
>
>
> Carl
>
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