Amount's default show instance hid important details, making eg test
failures hard to understand. Showing full detail required increasing
the debug level which was inconvenient.
Now it has a single show instance which shows more information, is
fairly compact, and is pretty-printable with pretty-show.
Ellipses (..) in the output indicate where fields are
- not shown in full detail, and/or
- shown in pseudo syntax (double quoted) to work with pretty-show.
ghci> usd 1
OLD:
Amount {acommodity="$", aquantity=1.00, ..}
NEW:
Amount {acommodity = "$", aquantity = 1.00, aprice = NoPrice, astyle = AmountStyle "L False 2 Just '.' Nothing..", amultiplier = False}
MixedAmount's show instance is unchanged, but showMixedAmountDebug
is affected by this change:
ghci> putStrLn $ showMixedAmountDebug $ Mixed [usd 1]
OLD:
Mixed [Amount {acommodity="$", aquantity=1.00, aprice=, astyle=AmountStyle {ascommodityside = L, ascommodityspaced = False, asprecision = 2, asdecimalpoint = Just '.', asdigitgroups = Nothing}}]
NEW:
Mixed [Amount {acommodity="$", aquantity=1.00, aprice=, astyle=AmountStyle "L False 2 Just '.' Nothing.."}]
Same-line & next-line comments of transactions, postings, etc.
are now parsed a bit more precisely. Previously parsing no comment
gave the same result as an empty comment (a single newline); now
it gives an empty string.
Also, and perhaps as a consequence of the above, when there's no
same-line comment but there is a next-line comment, we'll insert an
empty first line, otherwise next-line comments would get moved up to
the same line when rendered.
Some doctests have been added.
This removes transactionModifierToFunction's extra query parameter;
the rewrite command sets it in the TransactionModifier instead, which
I think is equivalent. I had to change one functional test, but it
seems correct now, so perhaps it wasn't working right before ?
I was negligent and did not test enough. This should ignore
transaction comments in auto posting rules more safely.
It also adds support for trailing comments on the first line of auto
posting rules, which previously were misparsed as part of the query.
'fail' will just terminate the current parse branch, whereas here
we have encountered a definite error. Also bring the code to
get the current working directory inside 'getFilePaths', as it
logically belongs there.
Field names are supposed to be case insensitive, but a field assignment like
fields ...,Transaction_Date,...
date %Transaction_Date
was failing, because of the capitalised letters. Fixed now.
- expands the set of expected tokens when e.g. parsing the invalid
posting `account $1 a`
- whitespace can affect parse errors because of the longest match rule
where errors that occur later take precedence over those that occur
earlier
- inline `spaceamountormissingp` into `postingp`
- combine `rightsymbolamountp` and `nosymbolamountp`
- the multiplier symbol '*' for an amount must now always preceed a sign '-'
[breaking change]
- make amount parser labels more generic to simplify error messages
For Data/Dates.hs in particular:
- Changed `SimpleTextParser` to `TextParser m` for all parsers
- Changed `string` to the case-insensitive `string'` to match the
behaviour of `T.toLower` found in `parsePeriodExpr`
- export `periodexprp` for "direct" use
... for displaying the source line on which parse errors occured
Over the following set of commits, I will to refactor the parsers to
obviate the `ExceptT String` layer of the `ErroringJournalParser` type
so that all parse errors go through Megaparsec's parse error machinery.
base-compat-batteries provides the same API across more ghc versions
than base-compat does, at the cost of more dependencies. Eg it exports
Prelude.Compat ((<>)) with ghc 7.10/base 4.8, which we expect.
My belief is that several of our deps already require it so the added
cost is not too great. We should probably go back to base-compat when
possible though, eg when we stop supporting ghc 7.10.
The new version of our package set apparently contains both base-compat and
base-compat-batteries in its transitive closure. This breaks the doctest suite,
which just imports everything into scope when the tests are run, thereby making
module names like Prelude.Compat ambiguous.
We don't need to import Data.Monoid because Prelude.Compat exports "<>"
already. In fact, importing that module causes build failures:
Hledger/Read/Common.hs:725:62: error:
Ambiguous occurrence ‘<>’
It could refer to either ‘Sem.<>’,
imported from ‘Prelude.Compat’ at Hledger/Read/Common.hs:97:1-39
(and originally defined in ‘Data.Semigroup’)
or ‘Data.Monoid.<>’,
imported from ‘Data.Monoid’ at Hledger/Read/Common.hs:110:1-18
Fixes https://github.com/simonmichael/hledger/issues/794.
- Rationale:
- The information necessary for applying exponents to a number is more
explicitly represented in the inputs to `fromRawNumber` than in the outputs
- This way, `exponentp` may simply return an `Int`
- Purpose: to reduce the verbosity of the previous implementation
- Split off `AmbiguousNumber` into its own type
- Introduce a function `AmbiguousNumber -> RawNumber` explicitly capturing the
disambiguation logic
- Reduce the number of remaining constructors in `RawNumber` to just two,
`WithSeparator` and `NoSeparator`
- The choice to distinguish by the presence of digit separators is motivated
by the need for this information later on when disallowing exponents on
numbers with digit separators
- Extracts the handling of signs out of `fromRawNumber` and into `signp` itself
- Rationale: The sign can be applied independently from the logic in
`fromRawNumber`
It now works slightly differently. Eg:
- <unbudgeted>'s subaccounts are hidden by default
- --show-unbudgeted shows all unbudgeted accounts, including subaccounts of budgeted parents
- --show-unbudgeted doesn't affect the grouping under <unbudgeted>
IMHO it's a nice simplification and increase in consistency, while still meeting the original intent.
Accounts which have no budget goals within the report period are now
grouped under <unbudgeted> - not just accounts with no budget goals ever.
Haddocks have been clarified, especially for budgetRollup. In some
ways things are much clearer without this feature, but it remains
enabled by default for now.
Budgets were restricted to a single interval in 1.9, but this was
a mistake. This restores the 1.5 behaviour, where a budget can be built
up from multiple periodic transactions with different intervals.
A commodity directive that doesn't specify the decimal point character
increases ambiguity and the chance of misparsing numbers, especially
as it overrides all style information inferred from the journal amounts.
In some cases it caused amounts with a decimal point to be parsed as if
with a digit group separator so 1.234 became 1234.
We could augment it with extra info from the journal amounts, when available,
but it would still be possible to be ambiguous, and that won't be obvious.
A commodity directive is what we recommend to nail down the style.
It seems the simple and really only way to do this reliably is to require
an explicit decimal point character. Most folks probably do this already.
Unfortunately, it makes another potential incompatiblity with ledger and
beancount journals. But the error message will be clear and easy to
work around.
Inferred amounts now have the appropriate standard amount style applied.
And when checking for balanced transactions, amount styles declared with
commodity directives are also used (previously only inferred amount styles were).
Income, liability and equity balances, which until now we have
always displayed as negative numbers, are now shown as normally positive
by these reports.
Negative numbers now indicate a contra-balance (eg an overdrawn
checking account), a net loss, a negative net worth, etc.
This makes these reports more like conventional financial statements,
and easier to read and share with normal people.
Now we have:
-- | Sorted unique account names posted to by this journal's transactions.
journalAccountNamesUsed :: Journal -> [AccountName]
-- | Sorted unique account names implied by this journal's transactions -
-- accounts posted to and all their implied parent accounts.
journalAccountNamesImplied :: Journal -> [AccountName]
-- | Sorted unique account names declared by account directives in this journal.
journalAccountNamesDeclared :: Journal -> [AccountName]
-- | Sorted unique account names declared by account directives or posted to
-- by transactions in this journal.
journalAccountNamesDeclaredOrUsed :: Journal -> [AccountName]
-- | Sorted unique account names declared by account directives, or posted to
-- or implied as parents by transactions in this journal.
journalAccountNamesDeclaredOrImplied :: Journal -> [AccountName]
-- | Convenience/compatibility alias for journalAccountNamesImpliedOrUsed.
journalAccountNames :: Journal -> [AccountName]
accountsFromPostings is currently doing excessive work when adding up
postings in each account. It sorts (accountName, amount) tuples which
cause amounts in them to be compared. There is no need to look at amount
here at all since subsequent summing up and counting does not depend on
order. It is enough to sort by accountname only.
Went through similar pieces of code, made them all look uniform.
- Simplify doctests for periodexpr.
- Besides consuming leading space consume ending space for periodexpr also.
- Drop implicit option (def, def) behaviour of periodexpr. I.e. disallow
hledger reg -p '' and auto-transaction with heading just '~'.
- Slightly re-factor periodexpr.
- Ensure that reportinginterval doesn't consume trailing space.
Useful if we'll start disallowing periods like "every1stjan2009-".
Ledger-style automated postings, previously supported only by
hledger-budget, have landed as a first-class feature. The --auto
flag activates them, so that any postings they generate are
included in reports.
Ledger-style periodic transactions, previously supported only by
hledger-budget, have landed as a first-class feature. The --forecast
flag activates them, so that any transactions they generate are
included in reports.
This is very helpful for periodic transactions, because in budget mode
you need to ensure that no periodic transactions extend past the end
of the journal, and in forecast mode you need to make sure that all
periodic transactions are strictly after the end of the journal.
Some of these demonstrate that runPeriodicTransaction could generate
transactions ouside of requested DateSpan. This happens because
runPeriodicTransaction uses splitSpan internally, and splitSpan always
generates dateSpans that fully cover original DateSpan, extending
beyound left/right boundary if necessary. This is ok if transactions
are generated for budgeting purpose, but during forecasting care should
be taken to check that all generated transactions are happening past
the end of the real journal.