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Canada Mutual Funds providing wrong values #62

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shaneyamkowy opened this issue Nov 22, 2023 · 3 comments
Open

Canada Mutual Funds providing wrong values #62

shaneyamkowy opened this issue Nov 22, 2023 · 3 comments

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@shaneyamkowy
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shaneyamkowy commented Nov 22, 2023

sorry an update, I corrected an error in syntax, but still getting mismatched change values on CIBC Global Monthly Income Fund F = 0P0001K9S3

For Nov 22, =muFunds("change", 0P0001K9S3) gave a value of $0.0034, but the actual change according to morningstar and globe and mail web sites was $0.0118.

The NAV value is correct

Any ideas? Help?

@joseballester
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Hi @shaneyamkowy, thanks for sharing your issue.

First of all, the 1-day change returned by the option change is a percentage, so 0.0034 represents a +0.34% (not $).

Apart from that, you are completely right that the returned value is not correct. I think it has something to do with currencies, so please let me investigate a bit and I'll get back to you as soon as I fix it.

@shaneyamkowy
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shaneyamkowy commented Dec 9, 2023 via email

@shaneyamkowy
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shaneyamkowy commented Dec 10, 2023 via email

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