OK, got most of these sorted out. I ran into an issue where the "option booking method" directive was in my options.bean file, which is imported into the file with only import statements. That didn't work and it took a while to figure out that the directive is not being applied at all. I created an issue #392 (https://bitbucket.org/blais/beancount/issues/392/booking-method-not-applied-when-used-in) for that.
Fava seems to get quite confused when NONE is used with my converted file. Even though the share accounts are set to use the share as the commodity, quite a few balances are reported only in real currency (all the prices are available in price files). The balances in shares are reported twice - once for positive and once for negative amounts. I'm still figuring out how to show the share balance using bean-query. I get all the positions listed but I'd like to only get the total number for quick comparison of balances across applications. Another thing I added to the todo list is bean-report ledger. If this preserves all the data, I'd opt to keep the main data file in beancount. -- You received this message because you are subscribed to the Google Groups "Beancount" group. To unsubscribe from this group and stop receiving emails from it, send an email to [email protected]. To post to this group, send email to [email protected]. To view this discussion on the web visit https://groups.google.com/d/msgid/beancount/862dc426-c548-404a-af0e-6dc2fb5150bc%40googlegroups.com. For more options, visit https://groups.google.com/d/optout.
