I was new to investment features in GC, trying to load brokerage
transactions into GnuCash, and realized it wasn't an easy task. There
are multiple manual steps involved and very time-consuming. I'd like to
ask fellow GC users for advice of how to best use GC for portfolio
management, and better ways to automate many of the tasks. Or is there
any automation tools for GC that enable the user to:
1. Set up stock/commodity accounts automatically by inspecting the new
accounts from brokerage transaction files
2. Add new stock/commodity definitions in GC automatically by
inspecting the brokerage transaction files
3. Populate the corresponding price database (optional)
4. Import trading transactions automatically using brokerage
transaction files
Any suggestions are highly appreciated. Thanks in advance!
-- ND
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