On November 14, 2008 08:30:11 am Derek Atkins wrote: > Phil, > > I must have missed this, because I don't remember reading the original > request. I don't understand what "additional table" is required. > I'm trying to think about it from the GnuCash use standpoint, not > the backend storage aspect. Where in GnuCash is this extra "table" > supposed to be used? And how?
Rolf has just replied to this. > Wait, the ENTIRE contents are read in? Historically only "necessary > data" was read in. That would be the Accounts and Commodities from > the main CoA. The transactions were all loaded on demand. Yes. I wanted to only read "necessary data". However, my (admittedly incomplete) knowledge of the engine led me to the conclusion that parts of th engine assume that all data is present. I couldn't get the account tree to show correct values, for example, unless all splits for an account were present. I ended up just loading the whole database into memory. Phil _______________________________________________ gnucash-devel mailing list gnucash-devel@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-devel