During backtesting against mutual fund data I have found several instances 
where the initial price in the database appears to be incorrect.

Symbol - FSPTX
01/02/90    $106.39 is adjusted to $75.76
01/03/90    $9.15 is adjusted to $6.47

Symbol - FSTCX
01/02/90    $74.83 is adjusted to $55.14
01/03/90    $15.53 is adjusted to $11.44

Other examples are:

FLPSX, FEMKX, FCVSX

The error isn't consistent - sometimes the first price is extremely high and 
sometimes extremely low.

What is the cause of this error and is it something that QP can correct.  I 
realize that with the latest version I can edit the data to correct these 
prices but I expect that there are many more instances of this error in the 
database.

I am posting this to the group because I have been unsuccessful in sending 
email to support - messages are either bounced as undeliverable or remain 
unanswered.

Dave 

[Non-text portions of this message have been removed]





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