Using Windows XP Profesional. This problem only occurs with BONDS. Other investments of shares and ISA's all work OK. I can of course enter the BOND price updates as £236 rather than the actual price of say £2.36
to give correct valuations. I am using v14 at present but previous versions did not have this problem and if I use £236 prices when previous prices were correct as £.pp then the performance calculations of the investment is wildy inaccurate.
Anyone know how to fix this problem?
Anybody experiencing the same problem?