305 lines
9.5 KiB
Python
Executable file
305 lines
9.5 KiB
Python
Executable file
#!/usr/bin/env python
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# Ledger, the command-line accounting tool
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#
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# Copyright (c) 2003-2004, New Artisans LLC. All rights reserved.
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#
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# This program is made available under the terms of the BSD Public
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# License. See the LICENSE file included with the distribution for
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# details and disclaimer.
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#
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# This script provides a Python front-end to the ledger library, and
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# replicates the functionality of the C++ front-end, main.cc. It is
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# provided as an example, and as a starting point for creating custom
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# front-ends based on the Ledger module. See the documentation for an
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# API reference, and how to use this module.
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import os
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import sys
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import string
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from ledger import *
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# Create the main journal object, into which all entries will be
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# recorded. Once done, the 'journal' may be iterated to yield those
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# entries, in the same order as which they appeared in the journal
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# file.
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journal = Journal ()
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# This call registers all of the default command-line options that
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# Ledger supports into the option handling mechanism. Skip this call
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# if you wish to do all of your own processing -- in which case simply
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# modify the 'config' object however you like.
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add_config_option_handlers ()
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# Process the command-line arguments, test whether caching should be
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# enabled, and then process any option settings from the execution
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# environment. Some historical environment variable names are also
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# supported.
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args = process_arguments (sys.argv[1:])
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config.use_cache = not config.data_file
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process_environment (os.environ, "LEDGER_")
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if os.environ.has_key ("LEDGER"):
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process_option ("file", os.environ["LEDGER"])
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if os.environ.has_key ("PRICE_HIST"):
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process_option ("price-db", os.environ["PRICE_HIST"])
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if os.environ.has_key ("PRICE_EXP"):
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process_option ("price-exp", os.environ["PRICE_EXP"])
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# If no argument remain, then no command word was given. Report the
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# default help text and exit.
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if len (args) == 0:
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option_help ()
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sys.exit (0)
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# The command word is in the first argument. Canonicalize it to a
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# unique, simple form that the remaining code can use to find out
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# which command was specified.
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command = args.pop (0);
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if command == "balance" or command == "bal" or command == "b":
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command = "b"
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elif command == "register" or command == "reg" or command == "r":
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command = "r"
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elif command == "print" or command == "p":
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command = "p"
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elif command == "entry":
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command = "e"
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elif command == "equity":
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command = "E"
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else:
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print "Unrecognized command:", command
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sys.exit (1)
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# Create all the parser objects to be used. They are all registered,
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# so that Ledger will try each one in turn whenever it is presented
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# with a data file. They are attempted in reverse order to their
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# registry. Note that Gnucash parsing is only available if the Ledger
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# module was built with such support (which requires the xmlparse C
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# library).
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text_parser = TextualParser ()
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bin_parser = BinaryParser ()
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qif_parser = QifParser ()
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gnucash_parser = None
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try:
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gnucash_parser = GnucashParser ()
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except:
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pass
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register_parser (text_parser)
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register_parser (bin_parser)
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if gnucash_parser:
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register_parser (gnucash_parser)
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register_parser (qif_parser)
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# Parse all entries from the user specified locations (found in
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# 'config') into the journal object we created. The two parsers given
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# as explicit arguments indicate: the parser to be used for standard
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# input, and the parser to be used for cache files.
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parse_ledger_data (journal, text_parser, bin_parser)
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# Now that everything has been correctly parsed (parse_ledger_data
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# would have thrown an exception if not), we can take time to further
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# process the configuration options. This changes the configuration a
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# bit based on previous option settings, the command word, and the
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# remaining arguments.
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config.process_options(command, args);
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# If the command is "e", use the method journal.derive_entry to create
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# a brand new entry based on the arguments given.
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new_entry = None
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if command == "e":
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new_entry = derive_new_entry (journal, args)
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if new_entry is None:
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sys.exit (1)
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# Determine the format string to used, based on the command.
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if config.format_string:
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format = config.format_string
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elif command == "b":
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format = config.balance_format
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elif command == "r":
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format = config.register_format
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elif command == "E":
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format = config.equity_format
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else:
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format = config.print_format
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# The following two classes are responsible for outputing transactions
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# and accounts to the user. There are corresponding C++ versions to
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# these, but they rely on I/O streams, which Boost.Python does not
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# provide a conversion layer for.
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class FormatTransaction (TransactionHandler):
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last_entry = None
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output = None
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def __init__ (self, fmt):
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try:
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i = string.index (fmt, '%/')
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self.formatter = Format (fmt[: i])
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self.nformatter = Format (fmt[i + 2 :])
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except ValueError:
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self.formatter = Format (fmt)
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self.nformatter = None
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self.last_entry = None
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if config.output_file:
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self.output = open(config.output_file, "w")
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else:
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self.output = sys.stdout
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TransactionHandler.__init__ (self)
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def __del__ (self):
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if config.output_file:
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self.output.close ()
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def flush (self):
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self.output.flush ()
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def __call__ (self, xact):
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if not transaction_has_xdata (xact) or \
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not transaction_xdata (xact).dflags & TRANSACTION_DISPLAYED:
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if self.nformatter is not None and \
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self.last_entry is not None and \
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xact.entry == self.last_entry:
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self.output.write(self.nformatter.format(xact))
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else:
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self.output.write(self.formatter.format(xact))
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self.last_entry = xact.entry
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class FormatAccount (AccountHandler):
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output = None
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def __init__ (self, fmt, pred):
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self.formatter = Format (fmt)
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self.predicate = AccountPredicate (pred)
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if config.output_file:
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self.output = open(config.output_file, "w")
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else:
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self.output = sys.stdout
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AccountHandler.__init__ (self)
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def __del__ (self):
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if config.output_file:
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self.output.close ()
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def flush (self):
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self.output.flush ()
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def __call__ (self, account):
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if display_account (account, self.predicate):
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if not account.parent:
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account_xdata (account).dflags |= ACCOUNT_TO_DISPLAY
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else:
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self.output.write(self.formatter.format(account))
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account_xdata (account).dflags |= ACCOUNT_DISPLAYED
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# Set the final transaction handler: for balances and equity reports,
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# it will simply add the value of the transaction to the account's
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# xdata, which is used a bit later to report those totals. For all
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# other reports, the transaction data is sent to the configured output
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# location (default is sys.stdout).
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if command == "b" or command == "E":
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handler = SetAccountValue()
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else:
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handler = FormatTransaction(format)
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# Chain transaction filters on top of the base handler. Most of these
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# filters customize the output for reporting. None of this is done
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# for balance or equity reports, which don't need it.
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if not (command == "b" or command == "E"):
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if config.display_predicate:
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handler = FilterTransactions(handler, config.display_predicate)
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handler = CalcTransactions(handler, config.show_inverted)
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if config.sort_string:
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handler = SortTransactions(handler, config.sort_string)
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if config.show_revalued:
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handler = ChangedValueTransactions(handler, config.show_revalued_only)
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if config.show_collapsed:
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handler = CollapseTransactions(handler);
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if config.show_subtotal:
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handler = SubtotalTransactions(handler)
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elif config.report_interval:
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handler = IntervalTransactions(handler, config.report_interval)
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handler = SortTransactions(handler, "d")
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elif config.days_of_the_week:
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handler = DowTransactions(handler)
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# The next two transaction filters are used by all reports.
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if config.show_related:
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handler = RelatedTransactions(handler, config.show_all_related)
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if config.predicate:
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handler = FilterTransactions(handler, config.predicate)
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# Walk the journal's entries, and pass each entry's transaction to the
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# handler chain established above. And although a journal's entries
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# can be walked using Python, it is significantly faster to do this
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# simple walk in C++, using `walk_entries'.
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if 1:
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walk_entries (journal, handler)
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else:
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for entry in journal:
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for xact in entry:
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handler (xact)
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# Flush the handlers, causing them to output whatever data is still
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# pending.
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handler.flush ()
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# For the balance and equity reports, the account totals now need to
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# be displayed. This is different from outputting transactions, in
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# that we are now outputting account totals to display a summary of
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# the transactions that were just walked.
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if command == "b":
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acct_formatter = FormatAccount (format, config.display_predicate)
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sum_accounts (journal.master)
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walk_accounts (journal.master, acct_formatter, config.sort_string)
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acct_formatter.flush ()
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#if account_has_xdata(journal.master):
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# account_xdata(journal.master).value = account_xdata(journal.master).total;
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#
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# if account_xdata(journal.master).dflags & ACCOUNT_TO_DISPLAY:
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# print "--------------------"
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# config.format.format(out, details_t(*journal->master));
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#elif command == "E":
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# format_equity acct_formatter(out, config.format, config.nformat,
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# config.display_predicate);
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# sum_accounts(*journal->master);
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# walk_accounts(*journal->master, acct_formatter, config.sort_string);
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# acct_formatter.flush();
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# If the cache is being used, and is dirty, update it now.
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if config.use_cache and config.cache_dirty and config.cache_file:
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write_binary_journal(config.cache_file, journal);
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# We're done!
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