While the duplicated transaction wasn't duplicated as reconciled, I went ahead and duplicated the transaction and re-reconciled and now evrything works well. Thanks for the pointer, Christopher! -A
On Sunday, July 1, 2018 5:08:29 PM CDT Christopher Lam wrote: > Highlight the "transfer" buy transaction, click transaction duplicate, and > accept the exact same day. You now have two buy transactions. Now highlight > the first one and delete it. > > On Mon, 2 Jul 2018, 05:54 Anthony Joseph Messina <amess...@messinet.com> > wrote: With GnuCash 3.1 on Fedora 28, I encounter the following error with > the Advanced Portfolio report that I didn't receive on previous 2.6.y > versions. > > "There is an error processing the transaction 'buying 1.4907 share units'. > This may to be caused by a sell transaction causing a negative stock > balance, and a subsequent buy transaction causing a zero balance. This > leads to a division-by-zero error. It can be fixed by preventing negative > stock balances." > > A stock in one of my 403(b) accounts was exchanged for another back on > 4/24/2015. > > Date Description Tot Shares Tot Buy Tot Sell > Balance 4/09/15 > 258.9702 4/24/15 Transfer > -260.4609 38,540.22 -1.4907 4/24/15 Contrib > 1.4907 220.58 0 > > What is the proper fix here? It seems like the "Contrib" entry needs to be > moved just before the "Transfer" on 4/24/15, but I'm not sure of the way to > do this. If I try to fake the date of "Contrib" to 4/23/15, I get the > ominous warning about moving a transaction that's been reconciled, so I > don't really want to do that. > > Thanks for your help. -A
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