[GNC] GNU cash keeps adding trading accounts
public.address at hotmail.co.uk
Sun Jun 27 06:19:57 EDT 2021
Thanks David, I look forward to the update as I have about 10 separate trading trees now!
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From: David H<mailto:hellvee at gmail.com>
Sent: 27 June 2021 08:55
To: Public Address<mailto:public.address at hotmail.co.uk>
Cc: gnucash-user at gnucash.org<mailto:gnucash-user at gnucash.org>
Subject: Re: [GNC] GNU cash keeps adding trading accounts
I think this is a known bug discussed/reported back in late April which has been fixed and will presumably be released in v4.6 shortly. Check out https://lists.gnucash.org/pipermail/gnucash-user/2021-April/096343.html for more details. Bug report at https://bugs.gnucash.org/show_bug.cgi?id=798093
Cheers David H.
On Sun, 27 Jun 2021 at 17:00, Public Address <public.address at hotmail.co.uk<mailto:public.address at hotmail.co.uk>> wrote:
Build ID: 4.5+(2021-03-27)
I have been entering stock transactions. All stocks are successfully set up in the security editor.
However, if (say) I buy AMD shares
1 Buy 10 shares in Brokerage account:AMD
2 GNU reduces cash in Brokerage account:USD Cash
3 GNU then automatically creates TRADING:NASDAQ:AMD
4 Which is fine
5 Then buy 20 shares of MSFT in Brokerage account:MSFT
6 GNU reduces cash in Brokerage account:USD Cash
7 GNU then automatically creates TRADING:NASDAQ:MSFT as a totally separate tree ie not under TRADING:NASDAQ created in 3
So for every ticker GNU is creating a separate tree.
I get that I can move the MSFT under NASDQ to sit with AMD but why is GNU creating a totally separate tree each time?
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