[moneydance] XML Tags
Randall Pierce
zrepmd at yahoo.com
Mon Jul 24 21:16:56 EDT 2006
Thanks to all for replying; now if there were just an easier way to merge
accounts and reassign/change parameters within transactions on a large scale
within MD....alas.....maybe one day
Randy
>-----Original Message-----
>From: moneydance-info-bounces at moneydance.com
>[mailto:moneydance-info-bounces at moneydance.com] On Behalf Of Ric Werme
>Sent: Monday, July 24, 2006 7:39 PM
>To: General discussion related to Moneydance
>Subject: Re: [moneydance] XML Tags
>
>
>> rpiercemd wrote:
>>
>> > I have had a security name change, so now have two
>securities which
>> > are the same thing. I am editing the XML file to get everything
>> > under the security's newest name. There is a "TAGS"
>subheading under
>> > "CURRENCY" which contains a "KEY" = "price_date" with a "VALUE" =
>> > 1161078500000. It is not clear what this number represents. Does
>> > anyone have some insight? I would like to basically merge the xml
>> > data for these securities, but these "price_date values
>are clearly
>> > different.
>
>and wrote:
>> Thanks for looking into this. So can you tell me exactly
>what date is
>> 1151078400000?
>
>Oh, well that makes more sense. With the time zone I get
>
> >>> strftime('%c %Z', localtime(1151078400))
> 'Fri Jun 23 12:00:00 2006 EDT'
>
>(It might really be noon UTC, so let's just call it noon, but
>it really might refer to the open or close of the trading day.)
>
>Presumably it means per share price as of that date or time.
>It probably shows up in the per share price history of the
>security. In your case I guess it means to use the new value,
>with the new security name.
>
> -Ric Werme
>
>
>
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