[GNC] GNU cash keeps adding trading accounts

David H hellvee at gmail.com
Sun Jun 27 03:55:29 EDT 2021


I think this is a known bug discussed/reported back in late April which has
been fixed and will presumably be released in v4.6 shortly.  Check out
https://lists.gnucash.org/pipermail/gnucash-user/2021-April/096343.html for
more details.  Bug report at https://bugs.gnucash.org/show_bug.cgi?id=798093

Cheers David H.

On Sun, 27 Jun 2021 at 17:00, Public Address <public.address at hotmail.co.uk>
wrote:

> Version: 4.5
> Build ID: 4.5+(2021-03-27)
> Finance::Quote: 1.49
> Windows 10
>
> I have been entering stock transactions.  All stocks are successfully set
> up in the security editor.
>
> However, if (say) I buy AMD shares
>
>
> 1                     Buy 10 shares in Brokerage account:AMD
>
> 2                     GNU reduces cash in Brokerage account:USD Cash
>
> 3                     GNU then automatically creates TRADING:NASDAQ:AMD
>
> 4                     Which is fine
>
> 5                     Then buy 20 shares of MSFT in Brokerage account:MSFT
>
> 6                     GNU reduces cash in Brokerage account:USD Cash
>
> 7                     GNU then automatically creates TRADING:NASDAQ:MSFT
> as a totally separate tree ie not under TRADING:NASDAQ created in 3
>
> So for every ticker GNU is creating a separate tree.
>
> I get that I can move the MSFT under NASDQ to sit with AMD but why is GNU
> creating a totally separate tree each time?
>
> Thanks
>
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