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Handling Cash Flows #14

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blogle opened this issue Sep 13, 2013 · 1 comment
Open

Handling Cash Flows #14

blogle opened this issue Sep 13, 2013 · 1 comment

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@blogle
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blogle commented Sep 13, 2013

How do we handle when clients add money to our fund or conversely, withdraw. This needs to be handled in such a way that a client redemptions are not influencing performance reports. As if we simply subtract from the portfolio value, it will show as a substantial drop in our strategy not attributable to performance.

@blogle
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blogle commented Jan 30, 2014

I think this is avoided simply by reconciling the account with IB periodically, then simply using the results in performance tracker vs the returns on cash_value or something similar.

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