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MFI Windows version
The Windows 95/98/Me/NT/2000/XP version of MFI is now available for download. There is no Apple version.
The Software
The Mutual Fund Investor is a comprehensive software program that allows you to make
important decisions about your mutual fund investments quickly and easily. This full-featured
program for financial planners and individual investors enables all aspects of mutual fund investing
to be performed conveniently, professionally, and in a customized fashion.
Requirements
- IBM PC or compatible running Windows 95/98/Me/NT/2000/XP.
- At least 32 MB RAM.
- At least 10 MB free hard disk space for installation.
Comparing Performance of Funds
Funds may be compared graphically with one another by directly superimposing their performance curves
on top of each other. Or, to compare the performances of all the funds you monitor, an easy to read
table format is provided. For example, just "point" to any time interval on any graph, such as the
most recent stock market rise or any market downturn. Then press a key or click a button and a table
appears ranking all your monitored funds from best to worst for the time interval you chose. This can
greatly help you narrow your investment choice to the two or three recently best performing funds. You
may also compare any fund with market indices (e.g., the S&P 500), stocks, or any other market indicator
(e.g., the prime rate). The ability to compare funds over any time period you want is a valuable
feature of the program. You won't have to wait for the next newsletter to come out, and you won't
have to be content with some magazine's arbitrarily chosen year-end to year-end time scale to examine
performances.
Built-In Timing Service
Buy/sell signals are generated by the program based upon moving averages, a well known method for
tracking mutual funds used by professionals and expensive timing services. Now you can do it yourself
for free, and you can define your own rules for buying and selling. Every time data is entered for
your monitored funds, buy/sell signals are internally updated by the program ready for you to examine.
Portfolio Management
Whether you are a financial planner managing thousands of clients constantly entering hundreds of
transactions or an individual managing your own or your family's portfolio, The Mutual Fund Investor
handles your requirements effortlessly and easily. For each transaction, a comment may be appended to
jog your memory at some later date explaining why the transaction was made. After any closing price
for a security is entered, all portfolios are automatically updated so that you can assess instantly
the status of an account. Several useful reports can be generated from your portfolio entries, such
as monthly profit/loss reports, total commissions paid or income received, etc.
For any portfolio, you can immediately display a list of all open accounts,
including current value, number of shares, account numbers, etc. And, you can cross reference
portfolios. For example, suppose you get a sell signal on one of the funds you monitor. You may
instantly generate a report displaying all portfolios invested in that fund, along with the
pertinent information needed for redeeming or closing the account. A sophisticated asset allocation
feature is also included in the program containing ten general categories, each with multiple
subcategories. Reports of profit/loss, internal rate of return, and asset allocation may be
generated for one portfolio, all portfolios, or for any "family" or selected group of portfolios.
Graphics
Two, three, and four-year daily charts or 5, 10, 15, or 20-year weekly charts may be displayed for
any fund along with one or two moving averages, and you may "zoom" in on any portion for close
examination. From the graphs, you may generate performance tables and momentum scores. Graphs
may be printed or saved to a file to be later imported to other graphics programs, and the graphs
may be customized for colors, titles, color gradients, cross hairs, and grids.
Relative strength graphs (relative to any market index or another fund) are also supported along
with moving averages of relative strength.
Data Entry
Flexibility is provided both for the conscientious investor who wants to track
his investments on a daily basis as well as the casual investor who may only
infrequently want to see how well his investment is performing. For the casual
user, data may be entered haphazardly -- enter data one week, skip a month, enter
data for another week, skip a week, etc. For any investor, if a mistake is made,
you can easily go back and enter the correct data. Data can be entered manually
by looking up the prices in the newspaper or transferred to and from another
program. For added convenience, a completely automatic retrieval of data over
the internet is available through the Dial Data. You simply highlight
on the computer screen those funds and the time interval for which you want data,
and the computer takes care of the rest. It retrieves the data, plugs it into the
program, and calculates all the parameters you follow as well as updating all your
portfolios. For both the casual and conscientious user, updating precise data is
easy, with a minimum of time and hassle. Distributions are also easily handled,
both for manual input as well as for importing from FundScope,
and the program can also automatically enter your distributions as investment
transactions for all portfolios based upon specified reinvestment options.
Ease of Use
Every aspect of the program was designed so that no sophisticated knowledge of computers is
required. This is a program for investors - not computer scientists! Help messages are displayed
throuhout the program. If you need more help, the entire documentation of the program
(context sensitive help) is on disk and available at the click of a mouse which brings up the
standard Windows help for the program. A convenient and valuable data management system is also
built right into the program. Automatic and manual data backups are supported. Restoring from
a backup is also very easy. Macros for the program are also supported.
Ability To Customize The Program
You may substitute any fund, stock, money market account, market index, or any
investment vehicle of your choice into the program. A "Master List" table
with a capacity for thousands of entries (only limited by disk space) is maintained
by the program. From this table, you may choose any number of securities to monitor
which may be classified under 100 columns that you can name (e.g., Aggressive, Moderate,
Conservative, International, Sector, etc.) to reflect the nature of the securities
in the column. Tales in the program can also be customized for color and column width.
History and Enhancements
Version 3.5 is the current Windows version. As enhancements and bug fixes occur, they will be posted here.
- Version 3.5 Build 132 - May 28, 2006
- Individual columns in Master List Summary Report may be sorted.
- Added safety feature for key value assignment when
add new entry into Master List.
- Version 3.5 Build 124 - March 23, 2004
- Corrected change in Dial Data font displayed when downlaoding data.
- Display information message when no distributions available (for requested date range) to
download from Dial Data.
- Version 3.5 Build 123 - January 30, 2004
- Corrected bug in Cost-Basis report affecting testing for split transaction when closing account.
- Version 3.5 Build 120 - September 6, 2003
- Enable downloading distributions of mutual funds or stocks (dividends) from Dial Data.
- File size of MFI backup files displayed in table in Backup/Restore section.
- Corrected bug in Cost-Basis report affecting transactions with splits.
- CUSIP column now display in "Find Master List Entry" dialog box.
- Build 115 - January 9, 2003
- Added ability to read Windows registry for new and old installations.
- Build 110 - December 28, 2002
- New installation interface, incorporating Microsoft's Windows Installer Service.
- Build 107 - September 13, 2002
- New feature - FundScope Summary report. If FundScope installed, a summary of statistics
present in the FundScope database is available and can be printed.
- Bug fix - distributions received as cash now do not affect total cost calculation, and
are displayed in report as "Received".
- Build 105 - August 27, 2002
- New feature - FundScope QuickFill, which fills in Master List entry fields when adding a new
new fund to the Master List. FundScope must be installed to access this feature.
- Build 104 - August 19, 2002
- Portfolio Summary report information displayed on one line, report forced to print in Landscape.
- Widened tables so font size problem reported by some users is fixed.
- Reopen feature enabled, displaying up to 10 most recently accessed Master Lists.
- Save open/closed accounts display status, comparison fund, benchmark fund, and last used
portfolio when switching between Master Lists.
- Version 3 Build 98 - May 12, 2002
- Graphs of single or multiple portfolios enabled.
- Cost-Basis Report enabled. Previous Cumulative Shares Report included in Cost-Basis report.
- Color scheme enabled for open/closed accounts on Master List.
- Find feature added for Master List (useful for large Master Lists).
- Complete context sensitive help included, with updated Ticker symbols for Dial Data.
- Deleted ability to download from S&P Micropal as service no longer exists.
- Enhancements to entering transactions - When deleting, highlight placed at next record,
not at end of table. When right-click on a displayed record, popup menu prompts to
edit or delete. Can delete blocks of transactions all at once. Expanded drop-down
boxes for securities and portfolios with type-ahead feature. When enter new record,
display in table is at end, not just before last record.
- Enhancements to entering prices - Edit prices for active column - form does not close
now after entering/editing price, and can switch between Master List columns. Enable
up to 6 decimals for entry. In reports, 3 decimals used (6 for variable annuities).
- Entering Distributions - Can enter and display up to 5 decimal places.
- Enhancements to Reports - Porfolio Summary Report - can change date of report to an older
date. Portfolio Summary Report - printing multiple portfolios now sorted alphabetically
by short portfolio name. Print macros for Portfolio Summary Report and Cost-Basis report
for multiple portfolios.
- Minor changes - Export prices - can now export adjusted prices. Gradient color direction
displays correctly for graphs.
- Version 2 Build 84 - August 17, 2001
- Dial Data download address changed.
- New updated database tables.
- Included conversion utility to convert version 1.0 tables to version 2.0 tables.
- Build 83 - May 13, 2001
- Bug fix: When importing/entering prices for a security, sometimes adjusted prices would be
reset to unadjusted prices (no distribution correction for graphs).
- Minor enhancements: prices and adjusted prices for any number of Master List entries may
be reset (access via the "Edit" menu). Restore screen made clearer. Some icons added
to some menu items.
- Build 82 - March 11, 2001
- Bug fix: "List Index Out Of Bounds" error occasionally occurred when displaying graphs and
when switching between daily and weekly displays.
- New feature: Transaction tics when graph of security displayed. Switching between portfolios
enabled when graph displayed, with refreshing of appropriate tics. User-defined color of
tics allowed, with storing of color between program sessions. Transaction summary displayed
at bottom of graph, and transactions corresponding to tics may be viewed. Tics may be left
on graph while displaying other non-transaction information at bottom of graph.
- New feature: Volatility Between Dates report from graphs.
- New feature: Moving Average Indicator report from graphs.
- Build 80 - January 12, 2001
- New feature: editing of prices of securities just in active column of Master List (choose
"Edit|Prices - Active Column").
- New feature: deletes extraneous InstallShield files from prior installations.
- New feature: UpdateMFI contains some additional steps to make the download of updates
successfule for some users. Also, old MFI.EXE is renamed to MFIOld.EXE before overwriting
with the new MFI.EXE, which allows for quick restoration in case downloading MFI.EXE is
unsuccessful. If that happens, just delete any MFI.EXE and rename MFIOld.EXE to MFI.EXE.
- Bug fix: importing prices/distributions directly from FundScope (short-term and long-term
capital gains data now recognized but added together as one capital gain).
- Bug fix: importing data or downloading data for security without prior data entered. May have
received errors when trying to display graph or move date lines, now corrected for future downloads.
To correct data for existing securities, highlight security and click on "Edit|Prices - Selected Entry",
display data for year data exists, then click "Save" button.
- Appearance change: Portfolio Summary Report. Decimals now align in "Shares/Value" column.
- Build 79 - October 22, 2000
- Bug fix: When downloading distributions on more than one fund from S&P Micropal, readjustment of
prices on all funds did not occur after entry of the distributions.
- Build 78 - October 15, 2000
- Bug fix: "Import Data, Prices, Distributions" did not accept some displayed date formats.
- Build 77 - October 4, 2000
- Enabled direct import of prices/distributions from FundScope.
- Bug fix: Ticker for Dial Data will now be accepted whether or not Ticker stored in MFI is in
uppper or lower case.
- Bug fix: Because of screen resolution, dates lines on graphs may occationally disappear when
date lines directly adjacent to one another. Popup note alerts user when this happens.
- Bug fix: Import of data in text files changed so that broadest time interval checked for holes.
This may slow down import of data. Some users reported holes in imported data form DOS MFI.
- Bug fix: Master List entries in columns 33 through 97 were not visible although could be accessed.
This has been fixed.
- Build 76
- Enabled use of '+'/'-' keys when entering dates in Portfolio Gain/Loss Report.
- Build 75
- Released July 5, 2000.
Summary
Below is a list of many of the features of the program. Ticker symbols (used when downloading
data from Dial Data) and ICDI numbers (used when importing data from FundScope) of over 12,000
mutual funds and market indices are listed in the Help file that comes with the program.
- Track any number of funds, variable annuities, stocks, and market indices on a
daily or weekly basis.
- Graphs for fund-to-fund performance comparisons between any two dates, moving
averages, volatility, momentum, relative strength.
- Sophisticated portfolio management system with numerous reports.
- Free sample data supplied.
- Haphazard data entry allowed. Enter data manually, transfer data to or from
another program, or automatically download data over internet from Dial Data.
Handles distributions easily for adjusting prices.
- Prints all data and graphs.
- Easy data Backup/Restore system included.
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