On 30.04.18,02:22, Johann Höchtl wrote:
> Bump.
> 
> The interesting thing is that the balance amount for account "Share" varies 
> depending on the order I call the two ledger files.
> 
> What is the underlying problem / offending statement? Do I need to extract 
> the automated transactions from the two files into one additional external 
> file?
> 
> Thank you!
> 

You might look at the comment in this post regarding problem with 
balancing with assertions and multiple files:

https://felixcrux.com/blog/ledger-practices-separate-your-journals

It might work better if you keep your transacations in one file here, 
the result seems more like you expect. 


Jostein

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