recently, one fund was merge into another fund. how to implement it in beancount knowing that i want to keep the price and the time when it was bought ???
one easy solution is to sell the old fund and to buy the new one but it is not the thing i want. regards -- 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 view this discussion on the web visit https://groups.google.com/d/msgid/beancount/CALUWbLf9gHoDv4Oyfu8pq7btQ7C0BL5nQ9WaixF0d2QmJpGDuA%40mail.gmail.com.
