I have been watching this thread and am glad that this discussion is
happening.
The price db is also used in the reconciliation dialog when reconciling an
account with subaccounts. The reconciliation dialog appears to use the most
recent value, where I would expect it to use nearest in time to
On Aug 19, 2015, at 1:44 PM, David Carlson david.carlson@gmail.com
wrote:
I have been watching this thread and am glad that this discussion is
happening.
The price db is also used in the reconciliation dialog when reconciling an
account with subaccounts. The reconciliation
In the past I have been reconciling stocks separately from the containing
brokerage account(s), but it gets tedious in a couple of accounts that
contain several different securities. It seems logical to me to only need
to reconcile a brokerage statement once instead of several times each
month.
On Aug 19, 2015, at 7:17 PM, David Carlson david.carlson@gmail.com
wrote:
In the past I have been reconciling stocks separately from the containing
brokerage account(s), but it gets tedious in a couple of accounts that
contain several different securities. It seems logical to me to