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My investments all use "Total for all shares" as Price Entry method. When entering a new buy, I do get the number of shares and the total price fields in the data entry pane. However, when I duplicate an existing buy in order to edit it (e.g. to enter a recurring 401K investment where the total price is always the same, but the number of shares changes), now this field is called Price/share. Yet, I still need to enter the total price here and not the price per share for the data entry to be correct. This problem does not exist in the old KMM version: it shows the total price instead of price per share as soon as you edit the transaction. This looks like a bug?
The same problem is present when duplicating a Reinvest Dividend transaction. BTW duplicating a ledger entry used to be almost instantaneous and is now extremely slow. Same when marking a ledger entry. |
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