Gain/Loss for Mutual Funds Calculating Incorrectly on Portfolio

When Mutual Funds are exported from Quicken during the Portfolio Sync, Quicken is not sending the purchase date for the Mutual Funds.  The Gain/Loss is calculated based on the date of the export, and because of this shows the purchase new for that day.  We do not currently have an ETA for a fix to this issue, and apologize for any inconvenience this may cause.


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