That's on purpose.
Think about it it makes a lot of sense...
Check out the trading document for an example of a sale with a capital gain
and you'll see why.

Price only matters for currency conversions. For sales the cash proceeds
contain the same information.

Offline now otherwise I'd type it right here.
On May 26, 2016 01:01, "yegle" <[email protected]> wrote:

> It seems like beancount allow cost_spec and price_annotation to be
> different, e.g.
>
> 2016-01-01 *
>     Assets:One 1 SOMETHING {100 USD, 2016-01-01} @200 USD
>     Assets:Two -100 USD
>
> Also it's weird that the balance is checked using the price in cost_spec,
> not the one in price_annotation.
>
> --
> Yuchen Ying
> http://about.me/yegle
>
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