Search intent
Keep a local dividend tracker readable by reviewing quantities, duplicates and stale entries.
Practical scenario
The user has saved positions and wants the tracker to stay useful over time. For record keepers, the main need is a clear way to document dividend dates and estimates before checking primary sources.
Workflow checklist
- Check quantities after any portfolio change.
- Remove duplicate or outdated saved entries when they no longer match the real position.
- Keep unknown dividend data visible instead of forcing a number.
- Keep the page path simple: open the relevant DivDeck tool, review the labeled data, then save only what is useful for the next cashflow check.
Keep it compliant
- Do not store broker credentials or sensitive account data in the MVP tracker.
- Do not hide local-only storage behavior from users.
- Do not overwrite a useful saved quantity with zero.