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| In microsoft.public.money, Howard wrote: - quote - > I sometimes buy and sell a stock on the same day using Fidelity as the
Enter the Buy into the register manually before accepting the Sell.> broker. When I download the information the next day, Money Plus > consistently enters the transactions in the wrong order. The sell > order is entered first. Since there are no shares, Money Plus always > adds additional shares, then enters the sell order, followed by the > buy order. So I need to correct the transactions manually by changing > the buy date to a day earlier and deleting the added shares. Is there > any other way to handle this. Quicken 2008 handles the transactions > in the correct order. Match it to the downloaded Buy during processing the download. |
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| I sometimes buy and sell a stock on the same day using Fidelity as the broker. When I download the information the next day, Money Plus consistently enters the transactions in the wrong order. The sell order is entered first. Since there are no shares, Money Plus always adds additional shares, then enters the sell order, followed by the buy order. So I need to correct the transactions manually by changing the buy date to a day earlier and deleting the added shares. Is there any other way to handle this. Quicken 2008 handles the transactions in the correct order. |
| Tags |
| buying, day, investments, selling |
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