custom separate trading accounts

Mike Alexander mta at umich.edu
Mon May 26 22:29:14 EDT 2014


On May 25, 2014, at 8:15 PM, gnucash.133518b at telus.net wrote:
> 
> I appreciate the fix, Mike. I am now getting VALUE=SHARES*PRICE in the report. I don't wish to be difficult, but would it not be better to use the alternate halfway algorithm to ensure that the Price used for the report's date is consistent with the same date appearing in the price editor? From a UI perspective it is bound to cause confusion to see 2013-01-04 as $11 in the report but 2013-01-04 as $10 in the price editor, which is what I am seeing even with the fixed script.

Perhaps that would be better, but I’m not inclined to fiddle with it more since the whole question of how dates are handled in GnuCash is somewhat up in the air.

               Mike
 


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