Commit Graph

1232 Commits

Author SHA1 Message Date
Simon Michael
028303acd7 lib: speed up -V by sorting market prices just once (#999)
-V is still quite a bit slower than no -V, but not as much as before:

+===========================================================++=======+
| hledger.999.pre -f examples/10000x10000x10.journal bal    ||  5.20 |
| hledger.999.pre -f examples/10000x10000x10.journal bal -V || 57.20 |
| hledger.999 -f examples/10000x10000x10.journal bal        ||  5.34 |
| hledger.999 -f examples/10000x10000x10.journal bal -V     || 17.50 |
+-----------------------------------------------------------++-------+
2019-04-20 13:12:53 -07:00
Jakob Schöttl
4444b8bc8f Change unused argument to undefined to make possible bugs more obvious 2019-04-18 22:38:41 +02:00
Jakob Schöttl
593ee39284 Fix behavior of options like -Mp2019
This fixes the issue #1008
2019-04-18 22:38:41 +02:00
Simon Michael
13dc1096a5 reg: test and fix for --average, broken since 1.12 (#1003) 2019-04-06 11:00:38 -07:00
Simon Michael
61e8ccbf88 csv: accept a balance field assignment instead of an amount (#1000) 2019-04-03 10:46:26 -07:00
Dmitry Astapov
3c3200fa66 lib: csv parser support for 'balance2', 'balance' renamed to 'balance1' 2019-03-15 16:18:43 -07:00
Simon Michael
c5df73910f csv: update some parse errors which weren't in human format
cf
https://www.reddit.com/r/plaintextaccounting/comments/axekse/hledger_how_to_create_curved_brackets_with_rule/
2019-03-05 06:23:11 -08:00
Simon Michael
16157bc711 lib, web: tweaks to keep building with GHC 7 2019-03-01 15:07:17 -08:00
Simon Michael
420eef4a40 lib: fix some transaction balancing cases
I needed to be more careful about ordering, as johannesgerer's original
code was, and the tests missed it. I think I have it now.
Found the PR whose code I have been reworking, it was #438.
2019-02-21 16:50:32 -08:00
Simon Michael
ca565795ad lib: transaction, [v]post*, balassert* constructors, for tests etc. 2019-02-21 16:20:04 -08:00
Simon Michael
0bc16d4af6 lib, cli, web: rename porigin -> poriginal 2019-02-20 20:23:54 -08:00
Simon Michael
ba850f3871 lib: more transaction balancing/assertions/assignments cleanup 2019-02-20 09:14:30 -08:00
Simon Michael
8789a442a8 lib: inclusive balance assertions (=* and ==*) 2019-02-20 09:14:30 -08:00
Simon Michael
3b47b58aec lib: clarify transaction balancing & balance assertion checking 2019-02-20 09:14:30 -08:00
Simon Michael
b34b262c76 lib: document mapM'
[ci skip]
2019-02-17 08:36:59 -08:00
Simon Michael
bc7a1476ed refactor: lib: hlint cleanups 2019-02-14 05:15:49 -08:00
Simon Michael
03877057fb refactor: cli: commands: hlint clean 2019-02-14 05:15:49 -08:00
Simon Michael
226add41d3 lib: slight cleanup (spelling, hlint)
[ci skip]
2019-02-14 05:15:49 -08:00
Simon Michael
9e3cdef1e9 lib: balance assertion docs (#290)
[ci skip]
2019-02-13 15:52:07 -08:00
Jakob Schöttl
161ca660dc Support register --invert option to negate amounts 2019-02-09 15:55:41 -08:00
Simon Michael
86d5652e53 stop depending on here due to slow haskell-src-meta/stackage issues
Using file-embed or ordinary literals instead, for now.
2019-02-02 16:34:10 -08:00
Simon Michael
d1f122f15e refactor: clarify, note issues (#893) 2019-02-01 15:35:33 -08:00
Simon Michael
d6e075dacd refactor journalModifyTransactions, modifyTransactions
API changes:

Hledger.Data.TransactionModifier
-transactionModifierToFunction
+modifyTransactions

Hledger.Read.Common.applyTransactionModifiers -> Hledger.Data.Journal.journalModifyTransactions
2019-02-01 11:31:04 -08:00
Simon Michael
550aa408eb lib: refactor, add embedFileRelative 2019-01-26 15:52:58 -08:00
Dmitry Astapov
f2aaaf3310 lib, cli: merge --show-unbudgeted into --empty 2019-01-25 12:53:09 -08:00
Simon Michael
550e33a558 journal: fix balance assertions/assignments & prices (#824)
Hopefully this is will do it. This restores the past behaviour:

- parsing prices in balance assertions/assignments
- ignoring them in assertions
- using them in assignments
- and printing them

and clarifies tests and docs.
2019-01-25 12:41:10 -08:00
Simon Michael
94d5c6f111 journal: allow prices in balance assertions, but ignore (#824, #958) 2019-01-25 08:59:37 -08:00
Simon Michael
b02f81572c lib: comment
[ci skip]
2019-01-25 08:51:45 -08:00
Dmitry Astapov
5711cdf9ba cli: added --transpose to "balance" command 2019-01-24 15:06:35 -08:00
Dmitry Astapov
f3366c7256 lib: fix behavior of nested budgets and --show-unbudgeted 2019-01-24 14:56:22 -08:00
Dmitry Astapov
92e7370f1f lib: fix alignment in budget report 2019-01-24 14:56:22 -08:00
Simon Michael
a61216ac3c journal: allow account types to be set with a type: tag 2019-01-18 16:40:35 -08:00
Simon Michael
573a13fc27 lib: expectParseStateOn helper 2019-01-18 16:40:35 -08:00
Simon Michael
763903ebda journal: save account directives' comments, tags, declaration order 2019-01-18 16:40:35 -08:00
Simon Michael
90bf354566 lib: allow more account directive info in Account records 2019-01-18 16:40:35 -08:00
Simon Michael
899946f270 journal: account directive: stop supporting account sort codes
Eg "account   1000". (Introduced in 1.9, deprecated in 1.11, removed in 1.13.)
2019-01-18 16:40:35 -08:00
Dmitry Astapov
faa5b0fba7 lib: fix parsing of status/code/desc/comments in period txn 2019-01-16 17:17:18 -08:00
Simon Michael
9e4b302af7 lib: setFullPrecision, setMinimalPrecision (#941) 2019-01-16 14:45:50 -08:00
Simon Michael
c5ae8e6891 comments 2019-01-16 13:58:04 -08:00
Simon Michael
5ee79797e1 better fix for #949, don't reverse same-day assertions with --auto 2019-01-16 09:10:58 -08:00
Simon Michael
274b1c12a1 whitespace 2019-01-15 12:58:05 -08:00
Simon Michael
f1441be404 lib: basic unit test for parseAndFinaliseJournal 2019-01-15 12:57:51 -08:00
Simon Michael
944554557a tweak readJournalFiles type signature 2019-01-15 06:18:56 -08:00
Simon Michael
228fc9eb3c preserve correct file order when using --auto (fixes #949)
And clarify parseAndFinaliseJournal a bit.
2019-01-15 06:14:47 -08:00
Simon Michael
e99f80d374 lib: try to clarify periodic transaction double-space error 2019-01-14 15:33:13 -08:00
Simon Michael
70b11ed0a4 journal: make balance assertions exact again (#941)
Going with option 1b from the issue: calculated and asserted amounts
are compared exactly, disregarding display precision.
But now balance assertion failure messages show those exact amounts at
full precision, avoiding confusion.
2019-01-08 16:51:11 +00:00
Simon Michael
c331be7f23 journal: clarify balance assertion/display precision more (#941) 2019-01-06 22:17:20 +00:00
Simon Michael
187fcf75ed journal: clarify balance assertion/display precision interaction
Surprisingly, balance assertions were checking to maximum precision,
which meant it was possible, with a display-precision-limiting
commodity directive, to have a failing assertion with the error
message showing asserted and actual amounts that looked the same.

Now we round the calculated account balance (but not the asserted
balance) to display precision before comparing. This should ensure
assertions always behave as you would expect from visual inspection.
2019-01-06 08:30:54 +00:00
Simon Michael
72eb48bb29 lib: clarify checkBalanceAssertion etc. 2019-01-06 08:24:07 +00:00
Simon Michael
86a91c514d lib: disallow prices in balance assertions/assignments (fix #824)
(and in Ledger-style {=FIXEDLOTPRICES} )
2019-01-05 07:35:54 +00:00
Simon Michael
6f36702141 lib: rename, reposition tprecedingcomment field 2019-01-05 07:35:54 +00:00
Simon Michael
cd1455e9ea lib: note aquantity zero with AUTO amounts 2019-01-05 07:35:54 +00:00
Simon Michael
5908414d77 lib: amultiplier -> aismultiplier 2019-01-05 07:35:54 +00:00
Simon Michael
3b0cb701ac lib: reorder Amount fields for clearer debug output 2019-01-05 07:35:54 +00:00
Simon Michael
2e525f5600 lib: accountdirectivep: update unit tests 2018-12-02 16:41:16 -08:00
Jesse Rosenthal
11a5809c5c journal: improve unassignable error. 2018-12-02 13:29:00 -08:00
Jesse Rosenthal
07d0a003a3 journal: fill unassignable list from account names. 2018-12-02 13:29:00 -08:00
Jesse Rosenthal
597b1b8ccd journal: check assignments against unassignable list 2018-12-02 13:29:00 -08:00
Jesse Rosenthal
ff455689a3 journal: add new state field for unassignable accounts
This should eventually include accountnames from transaction
modifiers (if `--auto` is enabled), or periodic transactions (if
`--forecast` is enabled).
2018-12-02 13:29:00 -08:00
Simon Michael
df775326d9 lib: add disabled test for proposed #931 solution 2018-11-29 13:44:38 -08:00
Simon Michael
6d0ee6a590 lib: clarify what postingsAsLines does (#931) 2018-11-29 13:32:59 -08:00
Simon Michael
e06e300446 lib: try to pin down what isTransactionBalanced does (#931) 2018-11-29 13:14:49 -08:00
Alex Chen
83a63a4ef5 lib: minor cleanup in 'periodictransactionp' 2018-11-22 14:09:32 -08:00
Alex Chen
519297051d lib: restore previous period expression parser behaviour (PR #807)
- parse a period expression by first extracting words separated by
  single spaces, then by "re-parsing" this text with 'periodexprp'
- this way, the period expression parsers do not need to know about
  the single- or double-space rules
2018-11-22 14:09:32 -08:00
Simon Michael
b00aa32d7b journal: txn modifier multipliers multiply total-priced amounts (#928)
A different approach: instead of converting to unit prices and fiddling
with the display precision, just multiply the total prices by the same
multiplier (and keep them positive).

This seems a little more natural. I'm not sure if one of these will be
more robust than the other.
2018-11-13 17:50:30 -08:00
Simon Michael
d7919003ae lib: (divide|multiply)[Mixed]AmountAndPrice (#928)
Divide/multiply amounts *and* their total price, if they have one.
Helpful for keeping transactions balanced when transaction modifiers are
multiplying amounts.
2018-11-13 17:43:15 -08:00
Simon Michael
b053942e9b lib: flip the arguments of (divide|multiply)[Mixed]Amount (api change)
Also, start using a mapMixedAmount helper.
2018-11-13 17:28:24 -08:00
Simon Michael
9e8b1612b0 journal: fix txn modifier multipliers with total-priced amounts (#928)
Transaction modifier multipliers have never multiplied total-priced amounts
correctly (and prior to hledger 1.10, this could generate unbalanced
transactions).

Now, the generated postings in this situation will have unit prices,
and an extra digit of display precision. This helps ensure that
the modified transaction will remain balanced. I'm not sure yet if
it's guaranteed.
2018-11-13 16:35:46 -08:00
Simon Michael
4b5b9f46db lib: TransactionModifier: clarify 2018-11-13 16:35:46 -08:00
Simon Michael
80b34ea48d lib: TransactionModifier: cleanup 2018-11-13 11:25:36 -08:00
Mykola Orliuk
99bfebd1a1 ui: support all results of showGenericSourcePos
Resolves simonmichael/hledger#904
2018-10-26 16:32:16 -07:00
Mykola Orliuk
1aac38d3d3 lib: include source info in txn balance errors
Partially address simonmichael/hledger#904
2018-10-23 15:54:38 -07:00
Simon Michael
3f6922b51f lib: showTransaction: comment
[ci skip]
2018-10-22 14:28:18 -07:00
Samuel May
e57ef9e9a9 lib: journal: Add support for exact assertions 2018-10-22 09:55:14 -07:00
Samuel May
6c31393dd3 lib: Groundwork allowing multi-commodity assertions 2018-10-22 09:55:14 -07:00
Samuel May
cde91fc5f4 lib: Make BalanceAssertion a full datatype
Note: simplifies/moves whitespace parsing out of the balance assertion
parser.
2018-10-22 09:55:14 -07:00
Simon Michael
0d531bb24f lib: showTransaction: fix a case showing multiple missing amounts
Noticed by peti: showTransaction could sometimes hide the last posting's
amount even if one of the other posting amounts was already implcit,
producing invalid transaction output.
2018-10-22 07:23:40 -07:00
Simon Michael
b5a90432ff lib: document and test showTransaction*, posting*AsLines 2018-10-22 06:46:31 -07:00
Simon Michael
20f006f7f6 lib: transaction: drop commented code 2018-10-22 04:03:29 -07:00
Simon Michael
b5df5fb5f0 lib: comment 2018-10-18 14:43:00 -07:00
Simon Michael
74611a7be1 ui: accounts: fix balances when there's only periodic txns
And clarify multiBalanceReport.
2018-10-18 14:43:00 -07:00
Simon Michael
2c2d10f9c2 lib: plog, plogAt: add missing newline, note issue 2018-10-18 14:43:00 -07:00
Jesse Rosenthal
a6a73e36e3 Finish removing journalFinalise (#903)
* journal: Get rid of `journalFinalise` and use granular functions

Complete the process started in 53b3e2bd. This gets rid of the
`journalFinalise` function and uses the smaller steps, in order to
have more granular control.

* journal: Change order of operations in finalization

We want to make sure that we add the filepath after the order is
reversed, so the added filepath is on the head and not the tail (as it
would be if it were reversed after it was added).

* journal: Refine granular finalization functions

This commit fixes two of the granular finalization functions:

1. Rename `journalSetTime` to `journalSetLastReadTime` and improve
   documentation.

2. Remove `journalSetFilePath`. It's redundant with `journalAddFile`
   currently in `Hledger.Read.Common`. The only difference between the
   functions is where the file is added (we keep the one in which it
   is added to the tail), so we change the position vis-a-vis
   reversal.
2018-10-16 08:51:51 -07:00
Simon Michael
4a399e50cb acc: don't require an explicit --flat to make --drop work 2018-10-13 13:22:11 -07:00
Simon Michael
b72f9697a2 lib: journal: account: allow whitespace or a comment after the account name 2018-10-13 13:09:49 -07:00
Jesse Rosenthal
53b3e2bd94 journal: split up the parts of journalFinalise, and use them as needed.
`journalFinalise` is only used in the `parseAndFinaliseJournal`
functions, but it needs to be run differently at different stages when
transaction modifiers are applied. This change breaks it into smaller
functions, and uses those smaller parts in `parseAndFinaliseJournal`
as needed.
2018-10-12 07:39:53 -07:00
Jesse Rosenthal
20f134c96b read: only run finalise twice if there are modifiers
Previously we ran if `--auto` was set. But this adds a small
performance hit if `--auto` becomes default. Now we only run twice if
there are transactionModifiers AND `--auto` is set. So even if auto is
specified, there will be no penalty if there are no modifiers.
2018-10-12 07:39:53 -07:00
Jesse Rosenthal
5a3462ce48 read: Integrate transaction modifiers with journal finalization
Currently, automated transactions are added before the journal is
finalized. This means that no inferred values will be picked up. We
change the procedure, if `auto_` is set, to

 1. first run `journalFinalise` without assertion checking (assertions
    might be wrong until automated transactions), but with reordering
 2. Insert transaction modifiers
 3. Run `journalFinalise` again, this time with assertion checking as
    set in the options, and without reordering.

If `auto_` is not set, all works as before.

Closes: #893
2018-10-12 07:39:53 -07:00
Jesse Rosenthal
b346d7f701 Journal: make reordering optional in journalFinalise
Currently `journalFinalise` always reverses the order of
entries. However, if there are automated transactions, we might need
to run it twice. This adds a boolean flag to make reordering
optional. This will be used in the `parseAndFinaliseJournal`
functions.
2018-10-12 07:39:53 -07:00
Simon Michael
605a082d77 bs/bse/cf/is: use account type declarations if any
These commands now detect the account types declared by account directives.
Whenever such declarations are not present, built-in regular expressions
are used, as before.
2018-10-09 14:24:59 -10:00
Simon Michael
c1236fa6e9 journal: account directives can declare account types
Previously you had to use one of the standard english account names
(assets, liabilities..) for top-level accounts, if you wanted to use
the bs/bse/cf/is commands.
Now, account directives can specify which of the big five categories
an account belongs to - asset, liability, equity, revenue or expense -
by writing one of the letters A, L, E, R or X two or more spaces after
the account name (where the numeric account code used to be).

This might change. Some thoughts influencing the current syntax:
- easy to type and read
- does not require multiple lines
- does not depend on any particular account numbering scheme
- allows more types later if needed
- still anglocentric, but only a little
- could be treated as syntactic sugar for account tags later
- seems to be compatible with (ignored by) current Ledger

The current design permits unlimited account type declarations anywhere
in the account tree. So you could declare a liability account somewhere
under assets, and maybe a revenue account under that, and another asset
account even further down. In such cases you start to see oddities like
accounts appearing in multiple places in a tree-mode report. In theory
the reports will still behave reasonably, but this has not been tested
too hard. In any case this is clearly too much freedom. I have left it
this way, for now, in case it helps with:

- modelling contra accounts ?
- multiple files. I suspect the extra expressiveness may come in handy
  when combining multiple files with account type declarations,
  rewriting account names, apply parent accounts etc.
  If we only allowed type declarations on top-level accounts, or
  only allowed a single account of each type, complications seem likely.
2018-10-09 14:24:59 -10:00
Mykola Orliuk
8c6a418325 lib: fix home path expansion in includes
fixes simonmichael/hledger#896
2018-10-09 13:35:40 -10:00
Simon Michael
6c57629b8c lib: fix posting-date-and-balance-assignment error properly (#894) 2018-10-09 16:08:47 -07:00
Simon Michael
8c7c59017a lib: fix my wrong merge of #880 more 2018-10-09 15:26:15 -07:00
Simon Michael
36fdeceb6c lib: tweak posting-date-no-amount-balance-assertion error (#894) 2018-10-09 14:15:52 -07:00
Simon Michael
f6e095e794 lib: fix my wrong merge of #880 2018-10-09 14:06:22 -07:00
Simon Michael
88887e5458
Merge branch 'master' into ExceptTLayer 2018-10-09 10:31:32 -10:00
Simon Michael
278802e648 journal: Y affects dates in periodic transactions (fix #892) 2018-10-09 11:54:40 -07:00
Simon Michael
ab26220b23 lib: document SmartDate
[ci skip]
2018-10-09 10:43:03 -07:00
Alex Chen
2cbc41e088 Merge branch 'master' into ExceptTLayer 2018-10-09 11:19:45 -06:00