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In Accounting Center, in the left navigation pane, click Reports > Fund Accounting Reports > Mutual Fund - Valuation > Fair Value Portfolio Valuation Comparison Report.
You see the Fair Value Portfolio Valuation Comparison Report panel.- Complete the options on the Fair Value Portfolio Valuation Comparison Report panel.
- Under Result Options, click Grid or Advanced Report for the report view you want.
- Click Submit.
The report appears on your desktop for the view selected.
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Fair Value Portfolio Valuation Comparison Report Panel Options
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A definition of the options on the Fair Value Portfolio Valuation Comparison Report panel follows.
Option | Description | ||
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Anchor | |||
_Toc423962949 | 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:
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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. |
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