972 lines
35 KiB
Text
972 lines
35 KiB
Text
Ledger NEWS
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* 3.1.2
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- Increased maximum length for regex from 255 to 4095 (bug #981).
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- Initialize periods from from/since clause rather than earliest
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transaction date (bug #1159).
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- Check balance assertions against the amount after the posting (bug #1147).
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- Allow balance assertions with multiple posts to same account (bug #1187).
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- Fixed period duration of "every X days" and similar statements (bug #370).
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- Option --force-color does not require --color anymore (bug #1109).
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- Added quoted_rfc4180 to allow CVS output with RFC 4180 compliant quoting.
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- Python: Removed double quotes from Unicode values.
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- Emacs Lisp files have been moved to https://github.com/ledger/ledger-mode
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- Fixed build under MSYS (32-bit).
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- Fixed build under Cygwin.
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- Various documentation improvements
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* 3.1.1
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- Added a --no-revalued option
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- Improved Embedded Python Support
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- Use ./.ledgerrc if ~/.ledgerrc doesn't exist
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- Fixed parsing of transactions with single-character payees and comments
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- Fixed crash when using -M with empty result
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- Fixed sorting for option --auto-match
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- Fixed treatment of "year 2015" and "Y2014" directives
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- Fixed crash when using --trace 10 or above
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- Build fix for boost 1.58, 1.59, 1.60
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- Build fix for Cygwin
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- Fixed Util and Math tests on Mac OS X
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- Various documentation improvements
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- Examples in the documentation are tested just like unit tests
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- Add continuous integration (https://travis-ci.org/ledger/ledger)
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* 3.1
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- Changed the definition of cost basis to preserve the original cost basis
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when a gain or loss is made (if you bought 1 AAA for $10 and then sold
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it for $12, ledger would previously take $12 as the cost; the original
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cost of $10 is preserved as the cost basis now, which addresses strange
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behavior with -B after a capital gain or loss is made).
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- Incorrect automatic Equity:Capital Gains and Equity:Capital Loss entries
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are no longer generated when a commodity is sold for loss or profit.
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- Support for virtual posting costs.
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- The option --permissive now quiets balance assertions
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- Removed SHA1 files due to license issues and use boost instead.
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- Added option --no-pager to disable the pager.
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- Added option --no-aliases to completely disable alias expansion
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- Added option --recursive-aliases to expand aliases recursively
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- Support payee "uuid" directive.
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- Bug fix: when a status flag (! or *) is explicitly specified for an
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individual posting, it always has a priority over entire transaction
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status.
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- Bug fix: don't lose commodity when cost is not separated by whitespace
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- Improved backwards compatibility with ledger 2.x
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- Build fix for GCC 4.9
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- Build fix for boost 1.56
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- Many improvements to ledger-mode, including fontification
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- More test cases and unit tests
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- Contrib: Added script to generate commodities from ISO 4217
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* 3.0
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Due to the magnitude of changes in 3.0, only changes that affect compatibility
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with 2.x files and usage is mentioned here. For a description of new
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features, please see the manual.
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- The option -g (--performance) was removed.
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- The balance report now defaults to showing all relevant accounts. This is
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the opposite of 2.x. That is, "bal" in 3.0 does what "-s bal" did in 2.x.
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To see 2.6 behavior, use "bal -n" in 3.0. The -s option no longer has any
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effect on balance reports.
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* 2.6.3
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- Minor fixes to allow for compilation with gcc 4.4.
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* 2.6.2
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- Bug fix: Command-line options, such as -O, now override init-file options
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such as -V.
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- Bug fix: "cat data | ledger -f -" now works.
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- Bug fix: --no-cache is now honored. Previously, it was writing out a cache
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file named "<none>".
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- Bug fix: Using %.2X in a format string now outputs 2 spaces if the state is
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cleared.
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* 2.6.1
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- Added the concept of "balance setting transactions":
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# Setting an account's balance
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You can now manually set an account's balance to whatever you want, at
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any time. Here's how it might look at the beginning of your Ledger
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file:
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2008/07/27 Starting fresh
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Assets:Checking = $1,000.00
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Equity:Opening Balances
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If Assets:Checking is empty, this is no different from omitting the
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"=". However, if Assets:Checking did have a prior balance, the amount
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of the transaction will be auto-calculated so that the final balance
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of Assets:Checking is now $1,000.00.
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Let me give an example of this. Say you have this:
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2008/07/27 Starting fresh
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Assets:Checking $750.00
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Equity:Opening Balances
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2008/07/27 Starting fresh
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Assets:Checking = $1,000.00
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Equity:Adjustments
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These two entries are exactly equivalent to these two:
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2008/07/27 Starting fresh
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Assets:Checking $750.00
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Equity:Opening Balances
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2008/07/27 Starting fresh
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Assets:Checking $250.00
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Equity:Adjustments
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The use of the "=" sign here is that it sets the transaction's amount
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to whatever is required to satisfy the assignment. This is the
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behavior if the transaction's amount is left empty.
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# Multiple commodities
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As far as commodities go, the = sign only works if the account
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balance's commodity matches the commodity of the amount after the
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equals sign. However, if the account has multiple commodities, only
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the matching commodity is affected. Here's what I mean:
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2008/07/24 Opening Balance
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Assets:Checking = $250.00 ; we force set it
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Equity:Opening Balances
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2008/07/24 Opening Balance
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Assets:Checking = EC 250.00 ; we force set it again
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Equity:Opening Balances
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This is an error, because $250.00 cannot be auto-balanced to match EC
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250.00. However:
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2008/07/24 Opening Balance
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Assets:Checking = $250.00 ; we force set it again
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Assets:Checking EC 100.00 ; and add some EC's
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Equity:Opening Balances
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2008/07/24 Opening Balance
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Assets:Checking = EC 250.00 ; we force set the EC's
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Equity:Opening Balances
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This is *not* an error, because the latter auto-balancing transaction
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only affects the EC 100.00 part of the account's balance; the $250.00
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part is left alone.
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# Checking statement balances
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When you reconcile a statement, there are typically one or more
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transactions which result in a known balance. Here's how you specify
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that in your Ledger data:
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2008/07/24 Opening Balance
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Assets:Checking = $100.00
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Equity:Opening Balances
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2008/07/30 We spend money, with a known balance afterward
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Expenses:Food $20.00
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Assets:Checking = $80.00
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2008/07/30 Again we spend money, but this time with all the info
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Expenses:Food $20.00
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Assets:Checking $-20.00 = $60.00
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2008/07/30 This entry yield an 'unbalanced' error
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Expenses:Food $20.00
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Assets:Checking $-20.00 = $30.00
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The last entry in this set fails to balance with an unbalanced
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remainder of $-10.00. Either the entry must be corrected, or you can
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have Ledger deal with the remainder automatically:
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2008/07/30 The fixed entry
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Expenses:Food $20.00
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Assets:Checking $-20.00 = $30.00
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Equity:Adjustments
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# Conclusion
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This simple feature has all the utility of @check, plus auto-balancing
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to match known target balances, plus the ability to guarantee that an
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account which uses only one commodity does contain only that
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commodity.
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This feature slows down textual parsing slightly, does not affect
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speed when loading from the binary cache.
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- The rest of the changes in the version is all bug fixes (around 45 of
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them).
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* 2.6.0.90
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- Gnucash parser is fixed.
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- Fix a memory leak bug in the amount parser.
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- (This feature is from 2.6, but was not documented anywhere):
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Commodities may now specify lot details, to assign in managing set
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groups of items, like buying and selling shares of stock.
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For example, let's say you buy 50 shares of AAPL at $10 a share:
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2007/01/14 Stock purchase
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Assets:Brokerage 50 AAPL @ $10
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Assets:Brokerage
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Three months later, you sell this "lot". Based on the original
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purchase information, Ledger remembers how much each share was
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purchased for, and the date on which it was purchased. This means
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you can sell this specific lot by price, by date, or by both. Let's
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sell it by price, this time for $20 a share.
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2007/04/14 Stock purchase
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Assets:Brokerage $1000.00
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Assets:Brokerage -50 AAPL {$10} @ $20
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Income:Capital Gains $-500.00
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Note that the Income:Capital Gains line is now required to balance
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the transaction. Because you sold 50 AAPL at $20/share, and because
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you are selling shares that were originally valued at $10/share,
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Ledger needs to know how you will "balance" this difference. An
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equivalent Expenses:Capital Loss would be needed if the selling
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price were less than the buying price.
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Here's the same example, this time selling by date and price:
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2007/04/14 Stock purchase
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Assets:Brokerage $1000.00
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Assets:Brokerage -50 AAPL {$10} [2007/01/14] @ $20
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Income:Capital Gains $-500.00
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If you attempt to sell shares for a date you did not buy them, note
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that Ledger will not complain (as it never complains about the
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movement of commodities between accounts). In this case, it will
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simply create a negative balance for such shares within your
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Brokerage account; it's up to you to determine whether you have them
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or not.
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- To facilitate lot pricing reports, there are some new reporting
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options:
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--lot-prices Report commodities with different lot prices as if
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they were different commodities. Otherwise, Ledger
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just gloms all the AAPL shares together.
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--lot-dates Separate commodities by lot date. Every
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transaction that uses the '@' cost specifier will
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have an implicit lot date and lot price.
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--lot-tags Separate commodities by their arbitrary note tag.
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Note tags may be specified using (note) after the
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commodity.
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--lots Separate commodities using all lot information.
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* 2.6
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- The style for eliding long account names (for example, in the
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register report) has been changed. Previously Ledger would elide
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the end of long names, replacing the excess length with "..".
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However, in some cases this caused the base account name to be
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missing from the report!
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What Ledger now does is that if an account name is too long, it will
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start abbreviating the first parts of the account name down to two
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letters in length. If this results in a string that is still too
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long, the front will be elided -- not the end. For example:
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Expenses:Cash ; OK, not too long
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Ex:Wednesday:Cash ; "Expenses" was abbreviated to fit
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Ex:We:Afternoon:Cash ; "Expenses" and "Wednesday" abbreviated
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; Expenses:Wednesday:Afternoon:Lunch:Snack:Candy:Chocolate:Cash
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..:Af:Lu:Sn:Ca:Ch:Cash ; Abbreviated and elided!
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As you can see, it now takes a very deep account name before any
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elision will occur, whereas in 2.x elisions were fairly common.
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- In addition to the new elision change mentioned above, the style is
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also configurable:
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--truncate leading ; elide at the beginning
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--truncate middle ; elide in the middle
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--truncate trailing ; elide at end (Ledger 2.x's behavior)
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--truncate abbrev ; the new behavior
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--abbrev-len 2 ; set length of abbreviations
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These elision styles affect all format strings which have a maximum
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width, so they will also affect the payee in a register report, for
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example. In the case of non-account names, "abbrev" is equivalent
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to "trailing", even though it elides at the beginning for long
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account names.
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- Error reporting has been greatly improving, now showing full
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contextual information for most error messages.
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- Added --base reporting option, for reporting convertible commodities
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in their most basic form. For example, if you read a timeclock file
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with Ledger, the time values are reported as hour and minutes --
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whichever is the most compact form. But with --base, Ledger reports
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only in seconds.
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NOTE: Setting up convertible commodities is easy; here's how to use
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Ledger for tracking quantities of data, where the most compact form
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is reported (unless --base is specified):
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C 1.00 Kb = 1024 b
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C 1.00 Mb = 1024 Kb
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C 1.00 Gb = 1024 Mb
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C 1.00 Tb = 1024 Gb
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- Added --ansi reporting option, which shows negative values in the
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running total column of the register report as red, using ANSI
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terminal codes; --ansi-invert makes non-negative values red (which
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makes more sense for the income and budget reports).
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The --ansi functionality is triggered by the format modifier "!",
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for example the register reports uses the following for the total
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(last) column:
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%!12.80T
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At the moment neither the balance report nor any of the other
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reports make use of the ! modifier, and so will not change color
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even if --ansi is used. However, you can modify these report format
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strings yourself in ~/.ledgerrc if you wish to see red coloring of
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negative sums in other places.
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- Added --only predicate, which occurs during transaction processing
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between --limit and --display. Here is a summary of how the three
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supported predicates are used:
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--limit "a>100"
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This flag limits computation to *only transactions whose amount
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is greater than 100 of a given commodity*. It means that if you
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scan your dining expenses, for example, only individual bills
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greater than $100 would be calculated by the report.
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--only "a>100"
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This flag happens much later than --limit, and corresponding
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more directly to what one normally expects. If --limit isn't
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used, then ALL your dining expenses contribute to the report,
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*but only those calculated transactions whose value is greater
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than $100 are used*. This becomes important when doing a
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monthly costs report, for example, because it makes the
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following command possible:
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ledger -M --only "a>100" reg ^Expenses:Food
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This shows only *months* whose amount is greater than 100. If
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--limit had been used, it would have been a monthly summary of
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all individual dinner bills greater than 100 -- which is a very
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different thing.
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--display "a>100"
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This predicate does not constrain calculation, but only display.
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Consider the same command as above:
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ledger -M --display "a>100" reg ^Expenses:Food
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This displays only lines whose amount is greater than 100, *yet
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the running total still includes amounts from all transactions*.
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This command has more particular application, such as showing
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the current month's checking register while still giving a
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correct ending balance:
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ledger --display "d>[this month]" reg Checking
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Note that these predicates can be combined. Here is a report that
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considers only food bills whose individual cost is greater than
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$20, but shows the monthly total only if it is greater than $500.
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Finally, we only display the months of the last year, but we
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retain an accurate running total with respect to the entire ledger
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file:
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ledger -M --limit "a>20" --only "a>200" \
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--display "year == yearof([last year])" reg ^Expenses:Food
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- Added new "--descend AMOUNT" and "--descend-if VALEXPR" reporting
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options. For any reports that display valued transactions (i.e.,
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register, print, etc), you can now descend into the component
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transactions that made up any of the values you see.
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For example, say you request a --monthly expenses report:
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$ ledger --monthly register ^Expenses
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Now, in one of the reported months you see $500.00 spent on
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Expenses:Food. You can ask Ledger to "descend" into, and show the
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component transactions of, that $500.00 by respecifying the query
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with the --descend option:
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$ ledger --monthly --descend "\$500.00" register ^Expenses
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The --descend-if option has the same effect, but takes a value
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expression which is evaluated as a boolean to locate the desired
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reported transaction.
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- Added a "dump" command for creating binary files, which load much
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faster than their textual originals. For example:
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ledger -f huge.dat -o huge.cache dump
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ledger -f huge.cache bal
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The second command will load significantly faster (usually about six
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times on my machine).
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- There have a few changes to value expression syntax. The most
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significant incompatibilities being:
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* Equality is now ==, not =
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* The U, A, and S functions now requires parens around the argument.
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Whereas before At was acceptable, now it must be specified as
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A(t).
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* The P function now always requires two arguments. The old
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one-argument version P(x) is now the same as P(x,m).
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The following value expression features are new:
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* A C-like comma operator is supported, where all but the last term
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are ignored. The is significant for the next feature:
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* Function definitions are now supported. Scoping is governed
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by parentheses. For example:
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(x=100, x+10) ; yields 110 as the result
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(f(x)=x*2,f(100)) ; yields 200 as the result
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* Identifier names may be any length. Along with this support comes
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alternate, longer names for all of the current one-letter value
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expression variables:
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Old New
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--- ---
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m now
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a amount
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a amount
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b cost
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i price
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d date
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X cleared
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Y pending
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R real
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L actual
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n index
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N count
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l depth
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O total
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B cost_total
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I price_total
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v market
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V market_total
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g gain
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G gain_total
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U(x) abs(x)
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S(x) quant(x), quantity(x)
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comm(x), commodity(x)
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setcomm(x,y), set_commodity(x,y)
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A(x) mean(x), avg(x), average(x)
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P(x,y) val(x,y), value(x,y)
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min(x,y)
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max(x,y)
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- There are new "parse" and "expr" commands, whose argument is a
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single value expression. Ledger will simply print out the result of
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evaluating it. "parse" happens before parsing your ledger file,
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while "expr" happens afterward. Although "expr" is slower as a
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result, any commodities you use will be formatted based on patterns
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of usage seen in your ledger file.
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These commands can be used to test value expressions, or for doing
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calculation of commoditized amounts from a script.
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A new "--debug" will also dump the resulting parse tree, useful for
|
|
submitting bug reports.
|
|
|
|
- Added new min(x,y) and max(x,y) value expression functions.
|
|
|
|
- Value expression function may now be defined within your ledger file
|
|
(or initialization file) using the following syntax:
|
|
|
|
@def foo(x)=x*1000
|
|
|
|
This line makes the function "foo" available to all subsequent value
|
|
expressions, to all command-line options taking a value expression,
|
|
and to the new "expr" command (see above).
|
|
|
|
* 2.5
|
|
|
|
- Added a new value expression regexp command:
|
|
C// compare against a transaction amount's commodity symbol
|
|
|
|
- Added a new "csv" command, for outputting results in CSV format.
|
|
|
|
- Ledger now expands ~ in file pathnames specified in environment
|
|
variables, initialization files and journal files.
|
|
|
|
- Effective dates may now be specified for entries:
|
|
|
|
2004/10/03=2004/09/30 Credit card company
|
|
Liabilities:MasterCard $100.00
|
|
Assets:Checking
|
|
|
|
This entry says that although the actual transactions occurred on
|
|
October 3rd, their effective date was September 30th. This is
|
|
especially useful for budgeting, in case you want the transactions
|
|
to show up in September instead of October.
|
|
|
|
To report using effective dates, use the --effective option.
|
|
|
|
- Actual and effective dates may now be specified for individual
|
|
transactions:
|
|
|
|
2004/10/03=2004/09/30 Credit card company
|
|
Liabilities:MasterCard $100.00
|
|
Assets:Checking ; [2004/10/10=2004/09/15]
|
|
|
|
This states that although the actual date of the entry is
|
|
2004/10/03, and the effective date of the entry is 2004/09/30, the
|
|
actual date of the Checking transaction itself is 2004/10/10, and
|
|
its effective date is 2004/09/15. The effective date is optional
|
|
(just specifying the actual date would have read "[2004/10/10]").
|
|
|
|
If no effective date is given for a transaction, the effective date
|
|
of the entry is assumed. If no actual date is given, the actual
|
|
date of the entry is assumed. The syntax of the latter is simply
|
|
[=2004/09/15].
|
|
|
|
- To support the above, there is a new formatting option: "%d". This
|
|
outputs only the date (like "%D") if there is no effective date, but
|
|
outputs "ADATE=EDATE" if there is one. The "print" report now uses
|
|
this.
|
|
|
|
- To support the above, the register report may now split up entries
|
|
whose component transactions have different dates. For example,
|
|
given the following entry:
|
|
|
|
2005/10/15=2005/09/01 iTunes
|
|
Expenses:Music $1.08 ; [2005/10/20=2005/08/01]
|
|
Liabilities:MasterCard
|
|
|
|
The command "ledger register" on this data file reports:
|
|
|
|
2005/10/20 iTunes Expenses:Music $1.08 $1.08
|
|
2005/10/15 iTunes Liabilities:MasterCard $-1.08 0
|
|
|
|
While the command "ledger --effective register" reports:
|
|
|
|
2005/08/01 iTunes Expenses:Music $1.08 $1.08
|
|
2005/09/01 iTunes Liabilities:MasterCard $-1.08 0
|
|
|
|
Although it appears as though two entries are being reported, both
|
|
transactions belong to the same entry.
|
|
|
|
- Individual transactions may now be cleared separately. The old
|
|
syntax, which is still supported, clears all transactions in an
|
|
entry:
|
|
|
|
2004/05/27 * Book Store
|
|
Expenses:Dining $20.00
|
|
Liabilities:MasterCard
|
|
|
|
The new syntax allows clearing of just the MasterCard transaction:
|
|
|
|
2004/05/27 Book Store
|
|
Expenses:Dining $20.00
|
|
* Liabilities:MasterCard
|
|
|
|
NOTE: This changes the output format of both the "emacs" and "xml"
|
|
reports. ledger.el uses the new syntax unless the Lisp variable
|
|
`ledger-clear-whole-entries' is set to t.
|
|
|
|
- Removed Python integration support.
|
|
|
|
- Did much internal restructuring to allow the use of libledger.so in
|
|
non-command-line environments (such as GUI tools).
|
|
|
|
* 2.4.1
|
|
|
|
- Corrected an issue that had inadvertently disabled Gnucash support.
|
|
|
|
* 2.4
|
|
|
|
- Both "-$100.00" and "$-100.00" are now equivalent amounts.
|
|
|
|
- Simple, inline math (using the operators +-/*, and/or parentheses)
|
|
is supported in transactions. For example:
|
|
|
|
2004/05/27 Book Store
|
|
Expenses:Dining $20.00 + $2.50
|
|
Liabilities:MasterCard
|
|
|
|
This won't register the tax/tip in its own account, but might make
|
|
later reading of the ledger file easier.
|
|
|
|
- Use of a "catch all" account is now possible, which auto-balances
|
|
entries that contain _only one transaction_. For sanity's sake this
|
|
is not used to balance all entries, as that would make locating
|
|
unbalanced entries a nightmare. Example:
|
|
|
|
A Liabilities:MasterCard
|
|
|
|
2004/05/27 Book Store
|
|
Expenses:Dining $20.00 + $2.50
|
|
|
|
This is equivalent to the entry in the previous bullet.
|
|
|
|
- Entries that contain a single transaction with no amount now always
|
|
balance, even if multiple commodities are involved. This means that
|
|
the following is now supported, which wasn't previously:
|
|
|
|
2004/06/21 Adjustment
|
|
Retirement 100 FUNDA
|
|
Retirement 200 FUNDB
|
|
Retirement 300 FUNDC
|
|
Equity:Adjustments
|
|
|
|
- Fixed several bugs relating to QIF parsing, budgeting and
|
|
forecasting.
|
|
|
|
- The configure process now looks for libexpat in addition to
|
|
searching for libxmlparse+libxmltok (how expat used to be packaged).
|
|
|
|
* 2.3
|
|
|
|
- The directive "!alias ALIAS = ACCOUNT" makes it possible to use
|
|
"ALIAS" as an alternative name for ACCOUNT in a textual ledger file.
|
|
You might use this to associate the single word "Bank" with the
|
|
checking account you use most, for example.
|
|
|
|
- The --version page shows the optional modules ledger was built with.
|
|
|
|
- Fixed several minor problems, plus a few major ones dealing with
|
|
imprecise date parsing.
|
|
|
|
* 2.2
|
|
|
|
- Ledger now compiles under gcc 2.95.
|
|
|
|
- Fixed several core engine bugs, and problems with Ledger's XML data
|
|
format.
|
|
|
|
- Erros in XML or Gnucash data now report the correct line number for
|
|
the error, instead of always showing line 1.
|
|
|
|
- 'configure' has been changed to always use a combination of both
|
|
compile and link tests for every feature, in order to identify
|
|
environment problems right away.
|
|
|
|
- The "D <COMM>" command, released in 2.1, now requires a commoditized
|
|
amount, such as "D $1,000.00". This sets not only the default
|
|
commodity, but several flags to be used with all such commodities
|
|
(such as whether numbering should be American or European by
|
|
default). This entry may be used be many times; the most recent
|
|
seen specifies the default for entries that follow.
|
|
|
|
- The binary cache now remembers the price history database that was
|
|
used, so that if LEDGER_PRICE_DB is silently changed, the cache will
|
|
be thrown away and rebuilt.
|
|
|
|
- OFX data importing is now supported, using libofx
|
|
(http://libofx.sourceforge.net). configure will check if the
|
|
library is available. You may need to add CPPFLAGS or LDFLAGS to
|
|
the command-line for the appropriate headers and library to be
|
|
found. This support is preliminary, and as such is not documented
|
|
yet.
|
|
|
|
- All journal entries now remember where they were read from. New
|
|
format codes to access this information are: %S for source path, %B
|
|
for beginning character position, and %E for ending character
|
|
position.
|
|
|
|
- Added "pricesdb" command, which is identical to "prices" except that
|
|
it uses the same format as Ledger's usual price history database.
|
|
|
|
- Added "output FILE" command, which attempts to reproduce the input
|
|
journal FILE exactly. Meant for future GUI usage. This command
|
|
relies on --write-hdr-format and --write-xact-format, instead of
|
|
--print-format.
|
|
|
|
- Added "--reconcile BALANCE" option, which attempts to reconcile all
|
|
matching transactions to the given BALANCE, outputting those that
|
|
would need to be "cleared" to match it. Using by the
|
|
auto-reconciling feature of ledger.el (see below).
|
|
|
|
"--reconcile-date DATE" ignores any uncleared transactions after
|
|
DATE in the reconciling algorithm. Since the algorithm is O(n^2)
|
|
(where 'n' is the number of uncleared transactions to consider),
|
|
this could have a substantial impact.
|
|
|
|
- In ledger.el's *Reconcile* mode ('C-c C-r' from a ledger-mode file):
|
|
. 'a' adds a missing transaction
|
|
. 'd' deletes the current transaction
|
|
. 'r' attempts to auto-reconcile (same as 'C-u C-c C-r')
|
|
. 's' or 'C-x C-s' will save the ledger data file and show the
|
|
currently cleared balance
|
|
. 'C-c C-c' commits the pending transactions, marking them cleared.
|
|
This feature now works with Emacs 21.3.
|
|
Also, the reconciler no longer needs to ask "how far back" to go.
|
|
|
|
- To support the reconciler, textual entries may now have a "!" flag
|
|
(pending) after the date, instead of a "*" flag (cleared).
|
|
|
|
- There are a new set of value expression regexp commands:
|
|
c// entry code
|
|
p// payee
|
|
w// short account name
|
|
W// full account name
|
|
e// transaction note
|
|
|
|
This makes it possible to display transactions whose comment field
|
|
matches a particular text string. For example:
|
|
|
|
ledger -l e/{tax}/ reg
|
|
|
|
prints out all the transactions with the comment "{tax}", which
|
|
might be used to identify items related to a tax report.
|
|
|
|
* 2.1
|
|
|
|
- Improved the autoconf system to be smarter about finding XML libs
|
|
|
|
- Added --no-cache option, to always ignore any binary cache file
|
|
|
|
- `ledger-reconcile' (in ledger.el) no longer asks for a number of days
|
|
|
|
- Fixed %.XY format, where X is shorter than the string generated by Y
|
|
|
|
- New directive for text files: "D <COMM>" specifies the default commodity
|
|
used by the entry command
|
|
|
|
* 2.0
|
|
|
|
This version represents a full rewrite, while preserving much of the
|
|
original data format and command-line syntax. There are too many new
|
|
features to describe in full, but a quick list: value expressions,
|
|
complex date masks, binary caching of ledger data, several new
|
|
reporting options, a simple way to specify payee regexps, calculation
|
|
and display predicates, and two-way Python integration. Ledger also
|
|
uses autoconf now, and builds as a library in addition to a
|
|
command-line driver.
|
|
|
|
** Differences from 1.7
|
|
|
|
- changes in option syntax:
|
|
|
|
-d now specifies the display predicate. To give a date mask similar
|
|
to 1.7, use the -p (period) option.
|
|
|
|
-P now generates the "by payee" report. To specify a price database
|
|
to use, use --price-db.
|
|
|
|
-G now generates a net gain report. To print totals in a format
|
|
consumable by gnuplot, use -J.
|
|
|
|
-l now specifies the calculation predicate. To emulate the old
|
|
usage of "-l \$100", use: -d "AT>100".
|
|
|
|
-N is gone. Instead of "-N REGEX", use: -d "/REGEX/?T>0:T".
|
|
|
|
-F now specifies the report format string. The old meaning of -F
|
|
now has little use.
|
|
|
|
-S now takes a value expression as the sorting criterion. To get
|
|
the old meaning of "-S", use "-S d".
|
|
|
|
-n now means "collapse entries in the register report". The get the
|
|
old meaning of -n in the balance report, use "-T a".
|
|
|
|
-p now specifies the reporting period. You can convert commodities
|
|
in a report using value expressions. For example, to display hours
|
|
at $10 per hour:
|
|
-T "O>={0.01h}?{\$10.00}*O:O"
|
|
Or, to reduce totals, so that every $417 becomes 1.0 AU:
|
|
-T "O>={\$0.01}?{1.0 AU}*(O/{\$417}):O"
|
|
|
|
- The use of "+" and "-" in ledger files to specify permanent regexps
|
|
has been removed.
|
|
|
|
- The "-from" argument is no longer used by the "entry" command.
|
|
Simply remove it.
|
|
|
|
** Features new to 2.0
|
|
|
|
- The most significant feature to be added is "value expressions".
|
|
They are used in many places to indicate what to display, sorting
|
|
order, how to calculate totals, etc. Logic and math operators are
|
|
supported, as well as simple functions. See the manual.
|
|
|
|
- If the environment variable LEDGER_FILE (or LEDGER) is used, a
|
|
binary cache of that ledger is kept in ~/.ledger-cache (or the file
|
|
given by LEDGER_CACHE). This greatly speeds up subsequent queries.
|
|
Happens only if "-f" or "--file" is not used.
|
|
|
|
- New 'xml' report outputs an XML version of what "register" would
|
|
have displayed. This can be used to manipulate reported data in a
|
|
more scriptable way.
|
|
|
|
Ledger can also read as input the output from the "xml" report. If
|
|
the "xml" report did not contain balanced entries, they will be
|
|
balanced by the "<Unknown>" account. For example:
|
|
ledger reg rent
|
|
displays the same results as:
|
|
ledger xml rent | ledger -f - reg rent
|
|
|
|
- Regexps given directly after the command name now apply only to
|
|
account names. To match on a payee, use "--" to separate the two
|
|
kinds of regexps. For example, to find a payee named "John" within
|
|
all Expenses accounts, use:
|
|
ledger register expenses -- john
|
|
|
|
Note: This command is identical (and internally converted) to:
|
|
ledger -l "/expenses/|//john/" register
|
|
|
|
- To include entries from another file into a specific account, use:
|
|
!account ACCOUNT
|
|
!include FILE
|
|
!end
|
|
|
|
- Register reports now show only matching account transactions. Use
|
|
"-r" to see "related accounts" -- the account the transfer came from
|
|
or went to (This was the old behavior in 1.x, but led to confusion).
|
|
"-r" also works with balance reports, where it will total all the
|
|
transactions related to your query.
|
|
|
|
- Automated transactions now use value expressions for the predicate.
|
|
The new syntax is:
|
|
= VALUE-EXPR
|
|
TRANSACTIONS...
|
|
|
|
Only one VALUE-EXPR is supported (compared to multiple account
|
|
regexps before). However, since value expression allow for logic
|
|
chaining, there is no loss of functionality. Matching can also be
|
|
much more comprehensive.
|
|
|
|
- If Boost.Python is installed (libboost_python.a), ledger can support
|
|
two-way Python integration. This feature is enabled by passing
|
|
--enable-python to the "configure" script before building. Ledger
|
|
can then be used as a module (ledger.so), as well as supporting
|
|
Python function calls directly from value expressions. See main.py
|
|
for an example of driving Ledger from Python. It implements nearly
|
|
all the functionality of the C++ driver, main.cc.
|
|
|
|
(This feature has yet to mature, and so is being offered as a beta
|
|
feature in this release. It is mostly functional, and those curious
|
|
are welcome to play with it.)
|
|
|
|
- New reporting options:
|
|
|
|
"-o FILE" outputs data to FILE. If "-", output goes to stdout (the
|
|
default).
|
|
|
|
-O shows base commodity values (this is the old behavior)
|
|
-B shows basis cost of commodities
|
|
-V shows market value of commodities
|
|
-g reports gain/loss performance of each register item
|
|
-G reports net gain/loss over time
|
|
-A reports average transaction value (arithmetic mean)
|
|
-D reports each transaction's deviation from the average
|
|
|
|
-w uses 132 columns for the register report, rather than 80. Set
|
|
the environment variable LEDGER_WIDE for this to be the default.
|
|
|
|
"-p INTERVAL" allows for more flexible period reporting, such as:
|
|
|
|
monthly
|
|
every week
|
|
every 3 quarters
|
|
weekly from 12/20
|
|
monthly in 2003
|
|
weekly from last month until dec
|
|
|
|
"-y DATEFMT" changes the date format used in all reports. The
|
|
default is "%Y/%m/%d".
|
|
|
|
-Y and -W print yearly and weekly subtotals, just as -M prints
|
|
monthly subtotals.
|
|
|
|
--dow shows cumulative totals for each day of the week.
|
|
|
|
-P reports transactions grouped by payee
|
|
|
|
-x reports the payee as the commodity; useful in some cases
|
|
|
|
-j and -J replace the previous -G (gnuplot) option. -j reports the
|
|
amounts column in a way gnuplot can consume, and -J the totals
|
|
column. An example is in "scripts/report".
|
|
|
|
"--period-sort EXPR" sorts transactions within a reporting period.
|
|
The regular -S option sorts all reported transactions.
|
|
|
|
* 1.7
|
|
|
|
- Pricing histories are now supported, so that ledger remembers the
|
|
historical prices of all commodities, and can present register
|
|
reports based on past and present market values as well as original
|
|
cost basis. See the manual for more details on the new option
|
|
switches.
|
|
|
|
* 1.6
|
|
|
|
- Ledger can now parse timeclock files. These are simple timelogs
|
|
that track in/out events, which can be maintained using my timeclock
|
|
tool. By allowing ledger to parse these, it means that reporting
|
|
can be done on them in the same way as ledger files (the commodity
|
|
used is "h", for hours); it means that doing things like tracking
|
|
billable hours for clients, and invoicing those clients to transfer
|
|
hours into dollar values via a receivable account, is now trivial.
|
|
See the docs for more on how to do this.
|
|
|
|
- Began keeping a NEWS file. :)
|