Hi, I noticed this (running balances wrong in register), too.
On my machine, I believe it occurred after I switched the display order in the register from the default order to "Date Entered", but I hadn't gotten around to trying to re-create it yet. I use the xml backend. My last cvs update was 6/29/02. I just started using cvs. So my steps to re-create just now: Created 2 new accounts, "Savings" and "Other Savings", both top-level bank accounts Opened a register window for "Savings" Made the following three entries, in the order given: 6/1/02 "Test Entry 1" Other Savings Deposit:$10 6/2/02 "Test Entry 2" Other Savings Deposit $20 5/29/02 "Test Entry 3" Other Savings Deposit $30 Then chose View->Sort Order->Date of Entry. Now I get (abbreviated): Test Entry 1 : Bal $40 Test Entry 2 : Bal $60 Test Entry 3 : Bal $30 By the way, perhaps that choice should be labeled "Entry Order" rather than "Date of Entry", unless the order within a group of tx's entered within a single day is genuinely not entry order. Olaf On Saturday 29 June 2002 09:38 am, Eildert Groeneveld wrote: > balance screwed up? > in the current cvs head I observe that the balance in an account stops > accumulating the individual transactions. Has someone else observed the > same? Secondly, it seems that the total market value of stocks are not > computed any more (share prices are fetched ok from Yahoo). > Any idea? > > greetings > > Eildert _______________________________________________ gnucash-devel mailing list [EMAIL PROTECTED] http://www.gnucash.org/cgi-bin/mailman/listinfo/gnucash-devel
