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This problem is giving me a headache! I am struggling with
how best to set up a workbook to track various transactions in a mutual fund. Does anyone have a good design for that? If so, feel free to mail it "curiousgeorge408" at "hotmail.com". I don't like any of the the MS templates that I have looked at. Of course, I need to track buys, including reinvested dividends, and sells, with related basis. I also need to track splits and "journal" transfers to other accounts in the same brokerage. I have not yet decided whether to use actual basis or single category average basis for shares sold. So I need to design the workbook with that flexibility in mind. The problem I wrestle with is: how to organize the data and computations so that I can track how many shares remain in each purchase lot and with what basis after several sells over time? Any constructive thoughts would be appreciated. My thoughts are going in circles. PS: I am an occassional seller, not a day trader. I tend to sell once or twice a month. |
#2
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Buy Quicken. It will do everything you want. You can get it for less than
$50 on eBay. Regards, Fred. wrote in message ... This problem is giving me a headache! I am struggling with how best to set up a workbook to track various transactions in a mutual fund. Does anyone have a good design for that? If so, feel free to mail it "curiousgeorge408" at "hotmail.com". I don't like any of the the MS templates that I have looked at. Of course, I need to track buys, including reinvested dividends, and sells, with related basis. I also need to track splits and "journal" transfers to other accounts in the same brokerage. I have not yet decided whether to use actual basis or single category average basis for shares sold. So I need to design the workbook with that flexibility in mind. The problem I wrestle with is: how to organize the data and computations so that I can track how many shares remain in each purchase lot and with what basis after several sells over time? Any constructive thoughts would be appreciated. My thoughts are going in circles. PS: I am an occassional seller, not a day trader. I tend to sell once or twice a month. |
#3
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On Mar 18, 1:31*am, "Fred Smith" wrote:
Buy Quicken. It will do everything you want. I anticipated that response. I, too, thought about Quicken; and I have not ruled it out. At the very least, I might look at how Quicken organizes the information to see if its adaptable to Excel. In general, I am not impressed with Quicken; but I'm malleable. At any rate, this is m.p.EXCEL.misc. So I'm interested in an Excel answer. I am sure that many people use Excel to track their investment trades. I would like to hear from them. I should note that my question is not so much an Excel question -- I'm sure I can do all the necessary computation. I simply cannot get my head around the design problem: how to lay out the information so that it is (a) easy to maintain, and (b) easy to match sells and buys primarily for the purpose of distinguish short- term and long-term gains/losses (US). I cannot imagine how I would do this manually, much less in Excel. |
#4
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On Mar 18, 7:20*pm, wrote:
I simply cannot get my head around the design problem Never mind! I think I've got a workable solution. |
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