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The NAV Impact – Change in Valuation report analyzes the daily and monthly Net Asset Value (NAV) impacts. This report allows you to:

  • Report by the entity for a daily or monthly accounting period.
  • Show the security details, filtered by activity type (such as market value, expenses, and distributions).
  • List the top 10 NAV impacts.
  • Group the NAV impact data by security and activity type.

To create the NAV Impact Report – Change in Valuation report:

  1. From the Accounting Center window, click Reporting in the left navigation.
  2. Double click Investment Accounting, Mutual Fund Reports, and NAV Impact Report – Change in Valuation.
    You see the NAV Impact Report – Change in Valuation panel.
  3. Complete the fields on the NAV Impact Report – Change in Valuation panel.
  4. Click Submit and then click Advanced Report or Classic Grid Report.
    The report appears on your desktop for the view selected.

A definition of the options on the NAV Impact Report – Change in Valuation panel follows.

  • 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.
  • Base Currency. Displays the base currency for your report results.
  • Report Type. Specifies the type of date for controlling your report results.
    Options include:
    –  Accounting Date (Default)
    –  Month End Accounting Date
  • Effective Date. Specifies the effective date for your report results. Default is today's date.
  • Include Zero Holdings. Allows you to include zero holdings.
    Options include
    –  Yes
    –  No (Default)
  • Show Ledger and NAV Summary. Allows you to show the Ledger and NAV summary. The default is No.
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