Hello William, >From the code I can see where the problem might be. It's using a fixed starting date instead of the day of the first purchase. I have to check, but it does a similar thing with the finish date.
Regards, Alvaro On Tue, Nov 26, 2013 at 11:12 AM, William H. Haller <[email protected]> wrote: > The values I reported were with the Date range set to All Dates and were for > closed positions. If it is trying to use anything other than the prices at > purchase and sell for a closed position, then it is fundamentally broken. > > My comment "I can't say what it is using for dates" simply reflected that > without any dates in the report display, there is no way to verify that it > has used the purchase or sell date in its computation for closed positions. > > I get different numbers for returns if I just pull one security at a time. > I'll try to pull just the current 4.6.4 without my patch to see what it > gives - maybe something in the handling of my long and short term capital > gains patch isn't getting cleared out if you do the full report of all > securities. > > -- > William Haller > Webmaster awmach.com, awmach.net, awmach.org _______________________________________________ KMyMoney-devel mailing list [email protected] https://mail.kde.org/mailman/listinfo/kmymoney-devel
