For clarification you sold from an account of TYPE:Stock/Mutual and the proceeds leg was an account of TYPE:Stock/Mutual rather than the more normal TYPE:Bank/Cash ?

Wm

On 2026-07-25 02:48, Fred Tydeman wrote:
I am running GnuCash 5.14 under Fedora Linux 44

I have several Mutual Fund accounts under an Asset account for my IRA.
I sold some shares in three different accounts and sent the proceeds to a
fourth account.
The fourth account is a money market with a "fixed" share price of one
dollar.
One entry in the money market account had the dollars, but blank shares and
price.
The other two entries had the shares and prices of the selling accounts
(not the price of one dollar in the receiving account).

So, the sides of the transactions in the selling accounts were correct, but
the
sides in the buying side were all wrong.

I guess I was expecting a popup asking about the price or shares in the
receiving account.

I was able to manually correct the three transactions in the money market
account.
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