hledger/hledger-lib/Hledger/Reports/MultiBalanceReports.hs
2018-09-06 13:13:26 -07:00

353 lines
18 KiB
Haskell

{-# LANGUAGE FlexibleInstances, ScopedTypeVariables, OverloadedStrings #-}
{-|
Multi-column balance reports, used by the balance command.
-}
module Hledger.Reports.MultiBalanceReports (
MultiBalanceReport(..),
MultiBalanceReportRow,
multiBalanceReport,
balanceReportFromMultiBalanceReport,
mbrNegate,
mbrNormaliseSign,
multiBalanceReportSpan,
tableAsText,
-- -- * Tests
tests_MultiBalanceReports
)
where
import Data.List
import Data.Maybe
import Data.Ord
import Data.Time.Calendar
import Safe
import Text.Tabular as T
import Text.Tabular.AsciiWide
import Hledger.Data
import Hledger.Query
import Hledger.Utils
import Hledger.Read (mamountp')
import Hledger.Reports.ReportOptions
import Hledger.Reports.BalanceReport
-- | A multi balance report is a balance report with one or more columns. It has:
--
-- 1. a list of each column's period (date span)
--
-- 2. a list of rows, each containing:
--
-- * the full account name
--
-- * the leaf account name
--
-- * the account's depth
--
-- * a list of amounts, one for each column
--
-- * the total of the row's amounts
--
-- * the average of the row's amounts
--
-- 3. the column totals and the overall total and average
--
-- The meaning of the amounts depends on the type of multi balance
-- report, of which there are three: periodic, cumulative and historical
-- (see 'BalanceType' and "Hledger.Cli.Commands.Balance").
newtype MultiBalanceReport =
MultiBalanceReport ([DateSpan]
,[MultiBalanceReportRow]
,MultiBalanceReportTotals
)
type MultiBalanceReportRow = (AccountName, AccountName, Int, [MixedAmount], MixedAmount, MixedAmount)
type MultiBalanceReportTotals = ([MixedAmount], MixedAmount, MixedAmount) -- (Totals list, sum of totals, average of totals)
instance Show MultiBalanceReport where
-- use pshow (pretty-show's ppShow) to break long lists onto multiple lines
-- we add some bogus extra shows here to help it parse the output
-- and wrap tuples and lists properly
show (MultiBalanceReport (spans, items, totals)) =
"MultiBalanceReport (ignore extra quotes):\n" ++ pshow (show spans, map show items, totals)
-- type alias just to remind us which AccountNames might be depth-clipped, below.
type ClippedAccountName = AccountName
-- | Generate a multicolumn balance report for the matched accounts,
-- showing the change of balance, accumulated balance, or historical balance
-- in each of the specified periods. Does not support tree-mode boring parent eliding.
-- If the normalbalance_ option is set, it adjusts the sorting and sign of amounts
-- (see ReportOpts and CompoundBalanceCommand).
multiBalanceReport :: ReportOpts -> Query -> Journal -> MultiBalanceReport
multiBalanceReport opts q j =
(if invert_ opts then mbrNegate else id) $
MultiBalanceReport (displayspans, sorteditems, totalsrow)
where
symq = dbg1 "symq" $ filterQuery queryIsSym $ dbg1 "requested q" q
depthq = dbg1 "depthq" $ filterQuery queryIsDepth q
depth = queryDepth depthq
depthless = dbg1 "depthless" . filterQuery (not . queryIsDepth)
datelessq = dbg1 "datelessq" $ filterQuery (not . queryIsDateOrDate2) q
dateqcons = if date2_ opts then Date2 else Date
precedingq = dbg1 "precedingq" $ And [datelessq, dateqcons $ DateSpan Nothing (spanStart reportspan)]
requestedspan = dbg1 "requestedspan" $ queryDateSpan (date2_ opts) q -- span specified by -b/-e/-p options and query args
requestedspan' = dbg1 "requestedspan'" $ requestedspan `spanDefaultsFrom` journalDateSpan (date2_ opts) j -- if open-ended, close it using the journal's end dates
intervalspans = dbg1 "intervalspans" $ splitSpan (interval_ opts) requestedspan' -- interval spans enclosing it
reportspan = dbg1 "reportspan" $ DateSpan (maybe Nothing spanStart $ headMay intervalspans) -- the requested span enlarged to a whole number of intervals
(maybe Nothing spanEnd $ lastMay intervalspans)
newdatesq = dbg1 "newdateq" $ dateqcons reportspan
reportq = dbg1 "reportq" $ depthless $ And [datelessq, newdatesq] -- user's query enlarged to whole intervals and with no depth limit
ps :: [Posting] =
dbg1 "ps" $
journalPostings $
filterJournalAmounts symq $ -- remove amount parts excluded by cur:
filterJournalPostings reportq $ -- remove postings not matched by (adjusted) query
journalSelectingAmountFromOpts opts j
displayspans = dbg1 "displayspans" $ splitSpan (interval_ opts) displayspan
where
displayspan
| empty_ opts = dbg1 "displayspan (-E)" reportspan -- all the requested intervals
| otherwise = dbg1 "displayspan" $ requestedspan `spanIntersect` matchedspan -- exclude leading/trailing empty intervals
matchedspan = dbg1 "matchedspan" $ postingsDateSpan' (whichDateFromOpts opts) ps
psPerSpan :: [[Posting]] =
dbg1 "psPerSpan"
[filter (isPostingInDateSpan' (whichDateFromOpts opts) s) ps | s <- displayspans]
postedAcctBalChangesPerSpan :: [[(ClippedAccountName, MixedAmount)]] =
dbg1 "postedAcctBalChangesPerSpan" $
map postingAcctBals psPerSpan
where
postingAcctBals :: [Posting] -> [(ClippedAccountName, MixedAmount)]
postingAcctBals ps = [(aname a, (if tree_ opts then aibalance else aebalance) a) | a <- as]
where
as = depthLimit $
(if tree_ opts then id else filter ((>0).anumpostings)) $
drop 1 $ accountsFromPostings ps
depthLimit
| tree_ opts = filter ((depthq `matchesAccount`).aname) -- exclude deeper balances
| otherwise = clipAccountsAndAggregate depth -- aggregate deeper balances at the depth limit
postedAccts :: [AccountName] = dbg1 "postedAccts" $ sort $ accountNamesFromPostings ps
-- starting balances and accounts from transactions before the report start date
startacctbals = dbg1 "startacctbals" $ map (\(a,_,_,b) -> (a,b)) startbalanceitems
where
(startbalanceitems,_) = dbg1 "starting balance report" $ balanceReport opts' precedingq j
where
opts' | tree_ opts = opts{no_elide_=True}
| otherwise = opts{accountlistmode_=ALFlat}
startingBalanceFor a = fromMaybe nullmixedamt $ lookup a startacctbals
startAccts = dbg1 "startAccts" $ map fst startacctbals
displayedAccts :: [ClippedAccountName] =
dbg1 "displayedAccts" $
(if tree_ opts then expandAccountNames else id) $
nub $ map (clipOrEllipsifyAccountName depth) $
if empty_ opts || (balancetype_ opts) == HistoricalBalance then nub $ sort $ startAccts ++ postedAccts else postedAccts
acctBalChangesPerSpan :: [[(ClippedAccountName, MixedAmount)]] =
dbg1 "acctBalChangesPerSpan"
[sortBy (comparing fst) $ unionBy (\(a,_) (a',_) -> a == a') postedacctbals zeroes
| postedacctbals <- postedAcctBalChangesPerSpan]
where zeroes = [(a, nullmixedamt) | a <- displayedAccts]
acctBalChanges :: [(ClippedAccountName, [MixedAmount])] =
dbg1 "acctBalChanges"
[(a, map snd abs) | abs@((a,_):_) <- transpose acctBalChangesPerSpan] -- never null, or used when null...
items :: [MultiBalanceReportRow] =
dbg1 "items" $
[(a, accountLeafName a, accountNameLevel a, displayedBals, rowtot, rowavg)
| (a,changes) <- acctBalChanges
, let displayedBals = case balancetype_ opts of
HistoricalBalance -> drop 1 $ scanl (+) (startingBalanceFor a) changes
CumulativeChange -> drop 1 $ scanl (+) nullmixedamt changes
_ -> changes
, let rowtot = sum displayedBals
, let rowavg = averageMixedAmounts displayedBals
, empty_ opts || depth == 0 || any (not . isZeroMixedAmount) displayedBals
]
sorteditems :: [MultiBalanceReportRow] =
dbg1 "sorteditems" $
sortitems items
where
sortitems
| sort_amount_ opts && accountlistmode_ opts == ALTree = sortTreeMultiBalanceReportRowsByAmount
| sort_amount_ opts = sortFlatMultiBalanceReportRowsByAmount
| not (sort_amount_ opts) && accountlistmode_ opts == ALTree = sortTreeMultiBalanceReportRowsByAccountCodeAndName
| otherwise = sortFlatMultiBalanceReportRowsByAccountCodeAndName
where
-- Sort the report rows, representing a flat account list, by row total.
sortFlatMultiBalanceReportRowsByAmount = sortBy (maybeflip $ comparing fifth6)
where
maybeflip = if normalbalance_ opts == Just NormallyNegative then id else flip
-- Sort the report rows, representing a tree of accounts, by row total at each level.
-- To do this we recreate an Account tree with the row totals as balances,
-- so we can do a hierarchical sort, flatten again, and then reorder the
-- report rows similarly. Yes this is pretty long winded.
sortTreeMultiBalanceReportRowsByAmount rows = sortedrows
where
anamesandrows = [(first6 r, r) | r <- rows]
anames = map fst anamesandrows
atotals = [(a,tot) | (a,_,_,_,tot,_) <- rows]
nametree = treeFromPaths $ map expandAccountName anames
accounttree = nameTreeToAccount "root" nametree
accounttreewithbals = mapAccounts setibalance accounttree
where
-- this error should not happen, but it's ugly TODO
setibalance a = a{aibalance=fromMaybe (error "sortTreeMultiBalanceReportRowsByAmount 1") $ lookup (aname a) atotals}
sortedaccounttree = sortAccountTreeByAmount (fromMaybe NormallyPositive $ normalbalance_ opts) accounttreewithbals
sortedaccounts = drop 1 $ flattenAccounts sortedaccounttree
-- dropped the root account, also ignore any parent accounts not in rows
sortedrows = concatMap (\a -> maybe [] (:[]) $ lookup (aname a) anamesandrows) sortedaccounts
-- Sort the report rows by account code if any, with the empty account code coming last, then account name.
-- TODO keep children below their parent. Have to convert to tree ?
sortFlatMultiBalanceReportRowsByAccountCodeAndName = sortBy (comparing acodeandname)
where
acodeandname r = (acode', aname)
where
aname = first6 r
macode = fromMaybe Nothing $ lookup aname $ jaccounts j
acode' = fromMaybe maxBound macode
-- Sort the report rows, representing a tree of accounts, by account code and then account name at each level.
-- Convert a tree of account names, look up the account codes, sort and flatten the tree, reorder the rows.
sortTreeMultiBalanceReportRowsByAccountCodeAndName rows = sortedrows
where
anamesandrows = [(first6 r, r) | r <- rows]
anames = map fst anamesandrows
nametree = treeFromPaths $ map expandAccountName anames
accounttree = nameTreeToAccount "root" nametree
accounttreewithcodes = mapAccounts (accountSetCodeFrom j) accounttree
sortedaccounttree = sortAccountTreeByAccountCodeAndName accounttreewithcodes
sortedaccounts = drop 1 $ flattenAccounts sortedaccounttree
-- dropped the root account, also ignore any parent accounts not in rows
sortedrows = concatMap (\a -> maybe [] (:[]) $ lookup (aname a) anamesandrows) sortedaccounts
totals :: [MixedAmount] =
-- dbg1 "totals" $
map sum balsbycol
where
balsbycol = transpose [bs | (a,_,_,bs,_,_) <- sorteditems, not (tree_ opts) || a `elem` highestlevelaccts]
highestlevelaccts =
dbg1 "highestlevelaccts"
[a | a <- displayedAccts, not $ any (`elem` displayedAccts) $ init $ expandAccountName a]
totalsrow :: MultiBalanceReportTotals =
dbg1 "totalsrow"
(totals, sum totals, averageMixedAmounts totals)
dbg1 s = let p = "multiBalanceReport" in Hledger.Utils.dbg1 (p++" "++s) -- add prefix in this function's debug output
-- dbg1 = const id -- exclude this function from debug output
-- | Given a MultiBalanceReport and its normal balance sign,
-- if it is known to be normally negative, convert it to normally positive.
mbrNormaliseSign :: NormalSign -> MultiBalanceReport -> MultiBalanceReport
mbrNormaliseSign NormallyNegative = mbrNegate
mbrNormaliseSign _ = id
-- | Flip the sign of all amounts in a MultiBalanceReport.
mbrNegate (MultiBalanceReport (colspans, rows, totalsrow)) =
MultiBalanceReport (colspans, map mbrRowNegate rows, mbrTotalsRowNegate totalsrow)
where
mbrRowNegate (acct,shortacct,indent,amts,tot,avg) = (acct,shortacct,indent,map negate amts,-tot,-avg)
mbrTotalsRowNegate (amts,tot,avg) = (map negate amts,-tot,-avg)
-- | Figure out the overall date span of a multicolumn balance report.
multiBalanceReportSpan :: MultiBalanceReport -> DateSpan
multiBalanceReportSpan (MultiBalanceReport ([], _, _)) = DateSpan Nothing Nothing
multiBalanceReportSpan (MultiBalanceReport (colspans, _, _)) = DateSpan (spanStart $ head colspans) (spanEnd $ last colspans)
-- | Generates a simple non-columnar BalanceReport, but using multiBalanceReport,
-- in order to support --historical. Does not support tree-mode boring parent eliding.
-- If the normalbalance_ option is set, it adjusts the sorting and sign of amounts
-- (see ReportOpts and CompoundBalanceCommand).
balanceReportFromMultiBalanceReport :: ReportOpts -> Query -> Journal -> BalanceReport
balanceReportFromMultiBalanceReport opts q j = (rows', total)
where
MultiBalanceReport (_, rows, (totals, _, _)) = multiBalanceReport opts q j
rows' = [(a
,if flat_ opts then a else a' -- BalanceReport expects full account name here with --flat
,if tree_ opts then d-1 else 0 -- BalanceReport uses 0-based account depths
, headDef nullmixedamt amts -- 0 columns is illegal, should not happen, return zeroes if it does
) | (a,a',d, amts, _, _) <- rows]
total = headDef nullmixedamt totals
-- common rendering helper, XXX here for now
tableAsText :: ReportOpts -> (a -> String) -> Table String String a -> String
tableAsText (ReportOpts{pretty_tables_ = pretty}) showcell =
unlines
. trimborder
. lines
. render pretty id id showcell
. align
where
trimborder = drop 1 . init . map (drop 1 . init)
align (Table l t d) = Table l' t d
where
acctswidth = maximum' $ map strWidth (headerContents l)
l' = padRightWide acctswidth <$> l
-- tests
tests_MultiBalanceReports = tests "MultiBalanceReports" [
let
(opts,journal) `gives` r = do
let (eitems, etotal) = r
(MultiBalanceReport (_, aitems, atotal)) = multiBalanceReport opts (queryFromOpts nulldate opts) journal
showw (acct,acct',indent,lAmt,amt,amt') = (acct, acct', indent, map showMixedAmountDebug lAmt, showMixedAmountDebug amt, showMixedAmountDebug amt')
(map showw aitems) `is` (map showw eitems)
((\(_, b, _) -> showMixedAmountDebug b) atotal) `is` (showMixedAmountDebug etotal) -- we only check the sum of the totals
usd0 = usd 0
amount0 = Amount {acommodity="$", aquantity=0, aprice=NoPrice, astyle=AmountStyle {ascommodityside = L, ascommodityspaced = False, asprecision = 2, asdecimalpoint = Just '.', asdigitgroups = Nothing}, amultiplier=False}
in
tests "multiBalanceReport" [
test "null journal" $
(defreportopts, nulljournal) `gives` ([], Mixed [nullamt])
,test "with -H on a populated period" $
(defreportopts{period_= PeriodBetween (fromGregorian 2008 1 1) (fromGregorian 2008 1 2), balancetype_=HistoricalBalance}, samplejournal) `gives`
(
[
("assets:bank:checking","checking",3, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=1}])
,("income:salary","salary",2, [mamountp' "$-1.00"], mamountp' "$-1.00",Mixed [amount0 {aquantity=(-1)}])
],
Mixed [usd0])
,test "a valid history on an empty period" $
(defreportopts{period_= PeriodBetween (fromGregorian 2008 1 2) (fromGregorian 2008 1 3), balancetype_=HistoricalBalance}, samplejournal) `gives`
(
[
("assets:bank:checking","checking",3, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=1}])
,("income:salary","salary",2, [mamountp' "$-1.00"], mamountp' "$-1.00",Mixed [amount0 {aquantity=(-1)}])
],
Mixed [usd0])
,test "a valid history on an empty period (more complex)" $
(defreportopts{period_= PeriodBetween (fromGregorian 2009 1 1) (fromGregorian 2009 1 2), balancetype_=HistoricalBalance}, samplejournal) `gives`
(
[
("assets:bank:checking","checking",3, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=1}])
,("assets:bank:saving","saving",3, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=1}])
,("assets:cash","cash",2, [mamountp' "$-2.00"], mamountp' "$-2.00",Mixed [amount0 {aquantity=(-2)}])
,("expenses:food","food",2, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=(1)}])
,("expenses:supplies","supplies",2, [mamountp' "$1.00"], mamountp' "$1.00",Mixed [amount0 {aquantity=(1)}])
,("income:gifts","gifts",2, [mamountp' "$-1.00"], mamountp' "$-1.00",Mixed [amount0 {aquantity=(-1)}])
,("income:salary","salary",2, [mamountp' "$-1.00"], mamountp' "$-1.00",Mixed [amount0 {aquantity=(-1)}])
],
Mixed [usd0])
]
]