I've been running the master branch on Fedora 41 for several months. I compile it on my system.

When I import my CD transactions from my broker via a downloaded ofx file, the price is listed as $100 when is should be $1. This has been an issue in 5.1 for several years and I think it started when I switched brokers. I have not asked about it since the developers are busy working on 5.2 and it was easy to correct in 5.1.

Since I switched to the master branch, the problem appears to be much deeper. The $100 price appears to be stored and used for some of the value calculations. As I bought new CDs, they were all valued at 100 times their actual price. I corrected this by doing a manual price update in the investment section and changing it from 100 to 1. The dialog that opens says I'm adjusting the exchange rate for the stock xxx to USD which seems odd. I leave the date alone but it appears to be the purchase date. This is far from ideal since i have more than 100 securities / CDs in several investment accounts so it's hard to find the ones that need to be fixed.

Ideally KMM would recognize the discrepancy and adjust the price from $100 to $1 when importing the OFX file. I'm guessing this is due to the broker not following the OFX standard.

I think these are the relevant lines in the OFX file when I purchase a CD.

<UNITS>12345
<UNITPRICE>100
<MKTVAL>12345

The UNITPRICE should be 1 and it's obvious the math does not work if you assume 100 is correct.

Oddly enough, the Quantity, Value and Balance columns in the ledger for the investment account are all correct and the Price column is wrong. When I update the price in the transaction from 100 to 1, all of the columns are correct. The Investment Value at the bottom of the ledger is clearly not based on the total of the Balance column since it appears to be using the 100 imported from the OFX file. The only way I can fix this is to find the CD in the investment section and manually change the price (exchange rate?) from 100 top 1.

This extra step was not required in 5.1. When I adjusted the price in the transaction, the Investment Value at the bottom of the ledger was correct.

I'm also having a problem when I sell CDs. The transaction only shows in the Brokerage account, not the investment account. I have to find the original purchase in the Investment account, duplicate it, switch it from buy to sell and correct the date. Then I match the newly created transaction in the brokerage account to the imported one. Unless this triggers a quick fix, lets figure out the first problem and I will come back to CD sales later since this is not a new problem in the master branch.

--

*Brendan Coupe*
*3...@coupe7.com*


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