Hi Mark,
I would like to do a customise report and would like some suggestions on the best way of doing it.
Basically what I need is a Report over a rolling 12 months period with 12 columns of data.
Each column would have the end of month valuation and also the net transaction value for that month. This is sort of a combination of the Portfolio Value report and the Transaction report but not using all the parameters.
Problems I encounter in trying to setup the customised report are that it only allows 6 periods rather than 12 which I need. Also, I am not sure how to get the net transaction value for each month - normally one would subtract all the outgoings/redemptions from the incoming/entry.
Suggestions on how best to achieve this would be welcome.
Regards
Matt