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Grid and advanced report views available for this report include:

  • Security level

  • Entity/share class Level

To create the Fair Value Portfolio Valuation Comparison report:

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  1. In Accounting Center, in the left navigation pane, click Reports Fund Accounting Reports > Mutual Fund - Valuation >

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  1.  Fair Value Portfolio Valuation

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  1. Comparison Report. 

    You see the Fair Value Portfolio Valuation Comparison Report panel.

  2. Complete the options on the Fair Value Portfolio Valuation Comparison Report panel.

  3. Under Result Options, click Grid or Advanced Report for the report view you want.

  4. Click Submit.
    The report appears on your desktop for the view selected.

Fair Value Portfolio Valuation Comparison Report Panel Options

A definition of the options on the Fair Value Portfolio Valuation Comparison Report panel follows.

Option

Description

Fair Value Comparison Report

Entity ID

Specifies a portfolio, sector portfolio, composite portfolio, or Master Fund by the entity ID of the entity.

Entity Name

Specifies a portfolio, sector portfolio, composite portfolio, or Master Fund by name of the entity.

Accounting Basis

Specifies the entity accounting basis. For example, USTAX, GAAP, or IFRS.

Account Currency

Displays the account currency.

Report Type

Specifies the type of date for controlling your report results. Options include:

  • Accounting Date (Default)

  • Monthly Accounting Date

Effective Date

Specifies the effective date for your report results. When you value this field, the Next Business Day field defaults to this date +1.

Next Day Open Source Name

Allows you to specify the source name to use for next day opens. Default is EAGLE PACE.

Next Business Day

Specifies the next business day following the Effective Date field entered.

Next Day Open Price Type

Allows you to filter by the price type for the next day open price.

Next Day Open Price Exchange

Specifies the price exchange for the next day price. Default is Primary.