When buying low volume stock often i have to split purchase in many 1-3k 
buy limit orders (which in turn often getting split in 5+ execution trades, 
some of the trades can be just 8 stock lol), so basically what for normal 
stock can be 1 buy transaction i can have 50+ transactions with with 
purchase price different couple of cents, example:

;; 2023-01-09 * "Buy 100 AAA Inc."
;;   Assets:Investing:InterBr:Cash  -138 USD

;; 2023-01-09 * "Buy 100 AAA Inc."
;;   Assets:Investing:InterBr:Cash  -137 USD

Is it fine to combine them in one? Like this:

2023-01-26 * "Buy AAA Inc; Jan 9 - Jan 11"
  Assets:Investing:InterBr:AAA                                 14,063 AAA 
{1.39215461 USD}
  Expenses:Investing:InterBr:Fees                               -68.59 USD
  Assets:Investing:InterBr:Cash                             -19,646.46 USD

In filed csv files i have all the 'mini' transactions if i would ever need 
them, plus i have them in my brokerage. I'd prefer not to have them in 
beancount cause they obscure big picture (for me it's 1 buy transaction)

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