lib: Make sure reportspan doesn't interfere with correctly determining valuation date.
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				| @ -82,6 +82,8 @@ type CompoundBalanceReport = CompoundPeriodicReport DisplayName MixedAmount | ||||
| -- type alias just to remind us which AccountNames might be depth-clipped, below. | ||||
| type ClippedAccountName = AccountName | ||||
| 
 | ||||
| -- Type alias for a valuation function | ||||
| type Valuation = Day -> MixedAmount -> MixedAmount | ||||
| 
 | ||||
| 
 | ||||
| -- | Generate a multicolumn balance report for the matched accounts, | ||||
| @ -106,6 +108,8 @@ multiBalanceReportWith ropts' j priceoracle = report | ||||
|     -- Queries, report/column dates. | ||||
|     reportspan = dbg "reportspan" $ calculateReportSpan ropts' j | ||||
|     ropts      = dbg "reportopts" $ makeReportQuery ropts' reportspan | ||||
|     valuation  = makeValuation ropts' j priceoracle  -- Must use ropts' instead of ropts, | ||||
|                                                      -- so the reportspan isn't used for valuation | ||||
| 
 | ||||
|     -- Group postings into their columns. | ||||
|     colps    = dbg'' "colps"  $ getPostingsByColumn ropts j reportspan | ||||
| @ -117,7 +121,7 @@ multiBalanceReportWith ropts' j priceoracle = report | ||||
| 
 | ||||
|     -- Generate and postprocess the report, negating balances and taking percentages if needed | ||||
|     report = dbg' "report" $ | ||||
|       generateMultiBalanceReport ropts j priceoracle colspans colps startbals | ||||
|       generateMultiBalanceReport ropts j valuation colspans colps startbals | ||||
| 
 | ||||
| -- | Generate a compound balance report from a list of CBCSubreportSpec. This | ||||
| -- shares postings between the subreports. | ||||
| @ -134,6 +138,8 @@ compoundBalanceReportWith ropts' j priceoracle subreportspecs = cbr | ||||
|     -- Queries, report/column dates. | ||||
|     reportspan = dbg "reportspan" $ calculateReportSpan ropts' j | ||||
|     ropts      = dbg "reportopts" $ makeReportQuery ropts' reportspan | ||||
|     valuation  = makeValuation ropts' j priceoracle  -- Must use ropts' instead of ropts, | ||||
|                                                      -- so the reportspan isn't used for valuation | ||||
| 
 | ||||
|     -- Group postings into their columns. | ||||
|     colps    = dbg'' "colps"  $ getPostingsByColumn ropts{empty_=True} j reportspan | ||||
| @ -149,7 +155,7 @@ compoundBalanceReportWith ropts' j priceoracle subreportspecs = cbr | ||||
|             ( cbcsubreporttitle | ||||
|             -- Postprocess the report, negating balances and taking percentages if needed | ||||
|             , prNormaliseSign cbcsubreportnormalsign $ | ||||
|                 generateMultiBalanceReport ropts' j priceoracle colspans colps' startbals' | ||||
|                 generateMultiBalanceReport ropts' j valuation colspans colps' startbals' | ||||
|             , cbcsubreportincreasestotal | ||||
|             ) | ||||
|           where | ||||
| @ -234,6 +240,18 @@ makeReportQuery ropts reportspan | ||||
|     dateless         = dbg "dateless" . filterQuery (not . queryIsDateOrDate2) | ||||
|     dateqcons        = if date2_ ropts then Date2 else Date | ||||
| 
 | ||||
| -- | Make a valuation function for valuating MixedAmounts and a given Day | ||||
| makeValuation :: ReportOpts -> Journal -> PriceOracle -> Valuation | ||||
| makeValuation ropts j priceoracle day = case value_ ropts of | ||||
|     Nothing -> id | ||||
|     Just v  -> mixedAmountApplyValuation priceoracle styles day mreportlast today multiperiod v | ||||
|   where | ||||
|     -- Some things needed if doing valuation. | ||||
|     styles = journalCommodityStyles j | ||||
|     mreportlast = reportPeriodLastDay ropts | ||||
|     today = fromMaybe (error' "multiBalanceReport: could not pick a valuation date, ReportOpts today_ is unset") $ today_ ropts  -- XXX shouldn't happen | ||||
|     multiperiod = interval_ ropts /= NoInterval | ||||
| 
 | ||||
| -- | Group postings, grouped by their column | ||||
| getPostingsByColumn :: ReportOpts -> Journal -> DateSpan -> Map DateSpan [Posting] | ||||
| getPostingsByColumn ropts j reportspan = columns | ||||
| @ -314,11 +332,11 @@ acctChangesFromPostings ropts ps = HM.fromList [(aname a, a) | a <- as] | ||||
| -- | Accumulate and value amounts, as specified by the report options. | ||||
| -- | ||||
| -- Makes sure all report columns have an entry. | ||||
| accumValueAmounts :: ReportOpts -> Journal -> PriceOracle -> [DateSpan] | ||||
| accumValueAmounts :: ReportOpts -> Valuation -> [DateSpan] | ||||
|                   -> HashMap ClippedAccountName Account | ||||
|                   -> HashMap ClippedAccountName (Map DateSpan Account) | ||||
|                   -> HashMap ClippedAccountName (Map DateSpan Account) | ||||
| accumValueAmounts ropts j priceoracle colspans startbals acctchanges =  -- PARTIAL: | ||||
| accumValueAmounts ropts valuation colspans startbals acctchanges =  -- PARTIAL: | ||||
|     HM.mapWithKey processRow $ acctchanges <> (mempty <$ startbals) | ||||
|   where | ||||
|     -- Must accumulate before valuing, since valuation can change without any | ||||
| @ -342,18 +360,8 @@ accumValueAmounts ropts j priceoracle colspans startbals acctchanges =  -- PARTI | ||||
|     -- We may be converting amounts to value, per hledger_options.m4.md "Effect of --value on reports". | ||||
|     valueAcct (DateSpan _ (Just end)) acct = | ||||
|         acct{aibalance = value (aibalance acct), aebalance = value (aebalance acct)} | ||||
|       where value = avalue (addDays (-1) end) | ||||
|     valueAcct _ _ = error' "multiBalanceReport: expected all spans to have an end date"  -- XXX should not happen | ||||
| 
 | ||||
|     avalue periodlast = maybe id | ||||
|         (mixedAmountApplyValuation priceoracle styles periodlast mreportlast today multiperiod) $ | ||||
|         value_ ropts | ||||
|       where | ||||
|         -- Some things needed if doing valuation. | ||||
|         styles = journalCommodityStyles j | ||||
|         mreportlast = reportPeriodLastDay ropts | ||||
|         today = fromMaybe (error' "multiBalanceReport: could not pick a valuation date, ReportOpts today_ is unset") $ today_ ropts  -- XXX shouldn't happen | ||||
|         multiperiod = interval_ ropts /= NoInterval | ||||
|       where value = valuation (addDays (-1) end) | ||||
|     valueAcct _ _ = error "multiBalanceReport: expected all spans to have an end date"  -- XXX should not happen | ||||
| 
 | ||||
|     startingBalanceFor a = HM.lookupDefault nullacct a startbals | ||||
|     zeros = M.fromList [(span, nullacct) | span <- colspans] | ||||
| @ -362,16 +370,16 @@ accumValueAmounts ropts j priceoracle colspans startbals acctchanges =  -- PARTI | ||||
| -- | Lay out a set of postings grouped by date span into a regular matrix with rows | ||||
| -- given by AccountName and columns by DateSpan, then generate a MultiBalanceReport | ||||
| -- from the columns. | ||||
| generateMultiBalanceReport :: ReportOpts -> Journal -> PriceOracle -> [DateSpan] | ||||
| generateMultiBalanceReport :: ReportOpts -> Journal -> Valuation -> [DateSpan] | ||||
|                            -> Map DateSpan [Posting] -> HashMap AccountName Account | ||||
|                            -> MultiBalanceReport | ||||
| generateMultiBalanceReport ropts j priceoracle colspans colps startbals = report | ||||
| generateMultiBalanceReport ropts j valuation colspans colps startbals = report | ||||
|   where | ||||
|     -- Each account's balance changes across all columns. | ||||
|     acctchanges = dbg'' "acctchanges" $ calculateAccountChanges ropts colspans colps | ||||
| 
 | ||||
|     -- Process changes into normal, cumulative, or historical amounts, plus value them | ||||
|     accumvalued = accumValueAmounts ropts j priceoracle colspans startbals acctchanges | ||||
|     accumvalued = accumValueAmounts ropts valuation colspans startbals acctchanges | ||||
| 
 | ||||
|     -- All account names that will be displayed, possibly depth-clipped. | ||||
|     displaynames = dbg'' "displaynames" $ displayedAccounts ropts accumvalued | ||||
|  | ||||
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