Commit message (Collapse) | Author | Age | Files | Lines | ||
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* | Report collapsed xacts using earliest date | John Wiegley | 2009-02-16 | 1 | -9/+16 | |
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* | Print <POINTER> if value_t::is_pointer() | John Wiegley | 2009-02-16 | 1 | -0/+4 | |
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* | Move tags to xacts instead of entries. | Drew Raines | 2009-02-15 | 1 | -2/+2 | |
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* | Made several of the filters more context aware | John Wiegley | 2009-02-15 | 5 | -39/+65 | |
| | | | | | This resolves certain issues where value expressions were not being looked up within their full context. | |||||
* | Don't apply all filters for account-wise reports | John Wiegley | 2009-02-15 | 3 | -35/+43 | |
| | | | | This creates its own problems; instead, only most are used. | |||||
* | Provide a "depth" variable for xacts | John Wiegley | 2009-02-15 | 1 | -0/+9 | |
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* | If an account's "total" is empty, return 0 | John Wiegley | 2009-02-15 | 1 | -1/+4 | |
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* | Added account(_base) accessors to account_t | John Wiegley | 2009-02-15 | 1 | -0/+12 | |
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* | Print stripped amounts in the print report | John Wiegley | 2009-02-15 | 1 | -2/+2 | |
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* | Normalized handling of several report options | John Wiegley | 2009-02-15 | 4 | -75/+69 | |
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* | Re-enabled the --format (-F) option | John Wiegley | 2009-02-15 | 2 | -10/+22 | |
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* | The "xact" variable now returns null for accounts | John Wiegley | 2009-02-15 | 3 | -1/+11 | |
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* | Improved handling of --empty option | John Wiegley | 2009-02-15 | 3 | -31/+36 | |
| | | | | | | For example, in period reports null transactions are only generated for empty periods if --empty is used. Otherwise, the presence of such transactions can get confusing. | |||||
* | item_predicate now operates on scope_t | John Wiegley | 2009-02-15 | 8 | -38/+35 | |
| | | | | This means item_predicate is no longer a template. | |||||
* | chain_xact_handlers now always operators the same | John Wiegley | 2009-02-15 | 3 | -88/+81 | |
| | | | | | | Previously, account-wise reports used a subset of the total number of transaction filters, but this could cause confusing results, and made some reports immpossible (such as account-wise monthly averages). | |||||
* | acprep doesn't call out to git if it's not there | John Wiegley | 2009-02-15 | 1 | -7/+9 | |
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* | Updated myacprep to allow a --output argument | John Wiegley | 2009-02-15 | 1 | -0/+2 | |
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* | The format code %C is now equal to %(fmt_C) | John Wiegley | 2009-02-15 | 2 | -7/+9 | |
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* | Removed an unused function | John Wiegley | 2009-02-15 | 1 | -6/+0 | |
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* | Fixed a call to value_t::cast to use in_place_cast | John Wiegley | 2009-02-15 | 1 | -3/+3 | |
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* | Whitespace fixes | John Wiegley | 2009-02-15 | 1 | -3/+3 | |
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* | Split up session_t::reread_journal_files() | John Wiegley | 2009-02-15 | 3 | -5/+4 | |
| | | | | | You now call session_t::close_journal_files() followed by session_t::read_journal_files(). | |||||
* | If a boolean value is to an amount, use 1 or 0 | John Wiegley | 2009-02-15 | 1 | -0/+3 | |
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* | Added 'count' and 'subcount' props for accounts | John Wiegley | 2009-02-15 | 1 | -1/+21 | |
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* | Only invoke new completion behavior if C-u is used | John Wiegley | 2009-02-15 | 1 | -14/+16 | |
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* | Strip annotations from the "parse" result | John Wiegley | 2009-02-15 | 1 | -1/+1 | |
| | | | | This way the value shown follows the current reporting options. | |||||
* | Change a few calls to on() to use set_expr() | John Wiegley | 2009-02-15 | 1 | -6/+5 | |
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* | Removed the %! formatting code, as it does nothing | John Wiegley | 2009-02-15 | 3 | -13/+8 | |
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* | Parse '/' in an operator context as "div" | John Wiegley | 2009-02-15 | 6 | -24/+22 | |
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* | Removed "total_cost" valexpr, and value_t::cost | John Wiegley | 2009-02-15 | 5 | -40/+4 | |
| | | | | | Since cost reports are now calculated by setting the amount_ expression, there is no need to track a separate "total cost" entity. | |||||
* | Restored the --average (-A) report option | John Wiegley | 2009-02-15 | 1 | -1/+5 | |
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* | Added a helper method for setting expr options | John Wiegley | 2009-02-15 | 1 | -14/+26 | |
| | | | | | | | | | | | Now one does: parent->HANDLER(display_total_).set_expr("total"); Rather than what was required previously: parent->HANDLER(display_total_).on("total"); parent->HANDLER(display_total_).expr = "total"; | |||||
* | Corrected double problem in period reports | John Wiegley | 2009-02-15 | 1 | -6/+2 | |
| | | | | | xact_t::add_to_value, in cases where the xact had a "compound" total, was adding transaction values to the running total twice. | |||||
* | Changed debug category op.calc to expr.calc | John Wiegley | 2009-02-15 | 1 | -2/+2 | |
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* | Added xact_t::count member | John Wiegley | 2009-02-15 | 3 | -2/+17 | |
| | | | | | | This allows reports to access the "whicheth" index of the reported transaction. It's used mainly by the --average report, which divides the running total by this count to get the arithmetic mean. | |||||
* | Have interval_xacts construct temps on a list | John Wiegley | 2009-02-14 | 3 | -13/+13 | |
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* | Generate null transactions for empty periods | John Wiegley | 2009-02-14 | 1 | -0/+16 | |
| | | | | | | | | | | | | | For example, if one uses -M to generate a monthly report for an entire year, and there are no transaction in the month of February, ordinarily Ledger would report nothing for that month, even if -E were used. Now "null transactions" are generated for periods without any activity, in order to make certain reports -- such as running monthly averages -- more accurate. For example, instead of -MA being just a monthly running average of months with activity, it is now a true average among all months during the reported period. | |||||
* | xact metadata searches get passed up to the entry | John Wiegley | 2009-02-14 | 5 | -42/+108 | |
| | | | | | | That is, if a metadata tag cannot be found in a transaction, look in the parent entry to see if it was set there. Transactions "inherit" notational details from their entries. | |||||
* | Surround command-line queries with implicit parens | John Wiegley | 2009-02-14 | 1 | -1/+1 | |
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* | Removed an #if 0'd function from iterators.cc | John Wiegley | 2009-02-14 | 1 | -45/+0 | |
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* | Added #if 0'd stub code from 2.x's option.cc | John Wiegley | 2009-02-14 | 1 | -3/+26 | |
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* | Restored the --actual and --real options | John Wiegley | 2009-02-14 | 2 | -2/+33 | |
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* | If an option was given no value, throw an error | John Wiegley | 2009-02-14 | 1 | -1/+2 | |
| | | | | The previous behavior was to trigger a confusing assertion. | |||||
* | Re-enabled periodic reporting options (-M, etc) | John Wiegley | 2009-02-14 | 3 | -13/+37 | |
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* | Fixed the way interval_t objects are initialized | John Wiegley | 2009-02-14 | 2 | -13/+11 | |
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* | Removed interval_t::advanced, which was unused | John Wiegley | 2009-02-14 | 2 | -9/+3 | |
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* | Enabled --cleared, --uncleared and --pending | John Wiegley | 2009-02-13 | 1 | -3/+14 | |
| | | | | | Note that the --uncleared flag includes --pending, since it specifically means "not yet cleared". | |||||
* | Changed the semantics of the "prices" report | John Wiegley | 2009-02-13 | 2 | -10/+23 | |
| | | | | | | | | | | | | | | | The prices report now uses the following scheme: PAYEE -> name of commodity of price ACCOUNT -> name of commodity of item AMOUNT -> price DATE -> date of pricing However, the report does not show the payee. The only reason the payee is set is to enable clever querying. For example: ledger prices gold # show all known prices for GOLD ledger prices @gold # show all known prices *in* GOLD | |||||
* | The formatting code no longer justifies values | John Wiegley | 2009-02-13 | 3 | -5/+7 | |
| | | | | | This is done in the value code, which knows -- based on the value's type -- how best to apply the justification. | |||||
* | Greatly improved output from the "format" command | John Wiegley | 2009-02-13 | 2 | -24/+46 | |
| | | | | | It now shows the formatted result against a sample entry, similar to what "parse" now does. |