I've run into an issue that I just can't find an answer to in either the 
manual or archived conversations from this group, so I thought I would post 
to see if you guys can help me out.

Following is an example of a stock transaction:

2019/03/18 * Buy xx
        Assets:Investing:ABC Securities:xx                  5.37578 xx @ 
$26.725424031
        Equity:Opening Balances

2019/03/19 * Sell xx
        Assets:Investing:ABC Securities:xx                 -5.37578 xx @ 
$44.373095625
        Assets:Investing:ABC Securities:Cash

After completing the transaction, all of my ABC Securities:Cash balance is 
correct, and all is good. If I run a balance report, however, I see a 
$94.87 balance when I expected to see $0.00.

ledger -f register.ldg --price-db price_db.txt -V --strict --explicit bal 
--depth=1 -e 2019-03-20

         $xxx,xxx.xx  Assets
        $-xxx,xxx.xx  Equity
         $xxx,xxx.xx  Expenses
        $-xxx,xxx.xx  Income
        $-xxx,xxx.xx  Liabilities
--------------------
              $94.87

If I run the same report with the --unrealized flag, I can see the $94.87 
show up in the unrealized gain category.

ledger -f register.ldg --price-db price_db.txt -V --strict --explicit bal 
--depth=2 -e 2019-03-20 --unrealized

         $xxx,xxx.xx  Assets
        $-xxx,xxx.xx  Equity
        $-xxx,xxx.xx    Opening Balances
             $-94.87    Unrealized Gains      
         $xxx,xxx.xx  Expenses
        $-xxx,xxx.xx  Income
        $-xxx,xxx.xx  Liabilities
--------------------
                   0

In this example, I have realized the gain, so how do I record it as such?  
I have many more examples of this where the transaction has occurred 
exactly as above, but the accounts have a tax-deferred status, so how do I 
handle those accounts as well?

Thanks
JL

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