Can someone define the following "Commodity Type" terms from the Price Editor (in the window that appears when you add or edit a commodity price):

Ask
Bid
Last
Net Asset Value
Unknown

Besides a definition, are there reasons you would choose one over the other? Does GnuCash calculate anything differently based on this option, or is it just informational for the user to know how the price was derived?

Thanks,
Jon

--
-**-*-*---*-*---*-*---*-----*-*-----*---*-*---*-----*-----*-*-----*---
 Jon Lapham  <[EMAIL PROTECTED]>          Rio de Janeiro, Brasil
 Work: Extracta Moléculas Naturais SA     http://www.extracta.com.br/
 Web: http://www.jandr.org/
***-*--*----*-------*------------*--------------------*---------------


_______________________________________________ gnucash-devel mailing list [EMAIL PROTECTED] http://www.gnucash.org/cgi-bin/mailman/listinfo/gnucash-devel

Reply via email to