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/***************************************************************************
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mymoneysplit.h - description
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-------------------
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begin : Sun Apr 28 2002
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copyright : (C) 2000-2002 by Michael Edwardes
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email : mte@users.sourceforge.net
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Javier Campos Morales <javi_c@users.sourceforge.net>
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Felix Rodriguez <frodriguez@users.sourceforge.net>
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John C <thetacoturtle@users.sourceforge.net>
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Thomas Baumgart <ipwizard@users.sourceforge.net>
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Kevin Tambascio <ktambascio@users.sourceforge.net>
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***************************************************************************/
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/***************************************************************************
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* *
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* This program is free software; you can redistribute it and/or modify *
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* it under the terms of the GNU General Public License as published by *
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* the Free Software Foundation; either version 2 of the License, or *
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* (at your option) any later version. *
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* *
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***************************************************************************/
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#ifndef MYMONEYSPLIT_H
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#define MYMONEYSPLIT_H
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// ----------------------------------------------------------------------------
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// QT Includes
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#include <tqstring.h>
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#include <tqdatetime.h>
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// ----------------------------------------------------------------------------
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// Project Includes
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#include <kmymoney/export.h>
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#include <kmymoney/mymoneyexception.h>
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#include <kmymoney/mymoneykeyvaluecontainer.h>
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#include <kmymoney/mymoneymoney.h>
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#include <kmymoney/mymoneyobject.h>
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#include <kmymoney/mymoneyutils.h>
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class MyMoneyTransaction;
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/**
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* @author Thomas Baumgart
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*/
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/**
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* This class represents a split of a transaction.
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*/
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class KMYMONEY_EXPORT MyMoneySplit : public MyMoneyObject, public MyMoneyKeyValueContainer
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{
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public:
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/**
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* This enum defines the possible reconciliation states a split
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* can be in. Possible values are as follows:
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*
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* @li NotReconciled
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* @li Cleared
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* @li Reconciled
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* @li Frozen
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*
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* Whenever a new split is created, it has the status NotReconciled. It
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* can be set to cleared when the transaction has been performed. Once the
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* account is reconciled, cleared splits will be set to Reconciled. The
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* state Frozen will be used, when the concept of books is introduced into
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* the engine and a split must not be changed anymore.
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*/
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enum reconcileFlagE {
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Unknown = -1,
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NotReconciled = 0,
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Cleared,
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Reconciled,
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Frozen,
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// insert new values above
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MaxReconcileState
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};
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typedef enum {
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UnknownTransactionType = -1,
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BuyShares = 0,
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SellShares,
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Dividend,
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ReinvestDividend,
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Yield,
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AddShares,
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RemoveShares,
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SplitShares
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} investTransactionTypeE;
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MyMoneySplit();
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MyMoneySplit(const TQDomElement& node);
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MyMoneySplit(const TQString& id, const MyMoneySplit& right);
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~MyMoneySplit();
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bool operator == (const MyMoneySplit&) const;
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void writeXML(TQDomDocument& document, TQDomElement& parent) const;
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/**
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* This method checks if a reference to the given object exists. It returns,
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* a @p true if the object is referencing the one requested by the
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* parameter @p id. If it does not, this method returns @p false.
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*
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* @param id id of the object to be checked for references
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* @retval true This object references object with id @p id.
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* @retval false This object does not reference the object with id @p id.
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*/
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virtual bool hasReferenceTo(const TQString& id) const;
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const MyMoneyMoney& shares(void) const { return m_shares; }
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const MyMoneyMoney& value(void) const { return m_value; }
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/**
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* This method returns the price. If the member m_price is not zero
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* its value is returned. Otherwise, if m_shares is not zero the quotient
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* of m_value / m_shares is returned. If m_values equals to zero, 1
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* will be returned.
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*/
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MyMoneyMoney price(void) const;
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/** This method just returns what is in m_price, so when we write to the
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* database, we don't just generate prices
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*/
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MyMoneyMoney actualPrice(void) const { return m_price; }
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const MyMoneyMoney value(const TQString& transactionCurrencyId, const TQString& splitCurrencyId) const;
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/**
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* Required to have (direct) access to the MyMoneyKeyValueContainer::value() method.
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*/
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const TQString& value(const TQString& key) const { return MyMoneyKeyValueContainer::value(key); }
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/**
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* Required to have (direct) access to the MyMoneyKeyValueContainer::setValue() method.
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*/
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void setValue(const TQString& key, const TQString& value) { MyMoneyKeyValueContainer::setValue(key, value); }
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const TQString& accountId(void) const { return m_account; }
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const TQString& memo(void) const { return m_memo; }
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reconcileFlagE reconcileFlag(void) const { return m_reconcileFlag; }
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const TQDate& reconcileDate(void) const { return m_reconcileDate; }
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const TQString& payeeId(void) const { return m_payee; }
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const TQString& action(void) const { return m_action; }
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const TQString& number(void) const { return m_number; }
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bool isAmortizationSplit(void) const { return m_action == ActionAmortization; }
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bool isInterestSplit(void) const { return m_action == ActionInterest; }
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bool isAutoCalc(void) const { return (m_shares == MyMoneyMoney::autoCalc) || (m_value == MyMoneyMoney::autoCalc); }
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const TQString& bankID(void) const { return m_bankID; }
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const TQString& transactionId(void) const { return m_transactionId; }
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void setShares(const MyMoneyMoney& shares);
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void setValue(const MyMoneyMoney& value);
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void setPrice(const MyMoneyMoney& price);
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/**
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* This method is used to set either the shares or the value depending on
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* the currencies assigned to the split/account and the transaction.
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*
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* If @p transactionCurrencyId equals @p splitCurrencyId this method
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* calls setValue(MyMoneyMoney) otherwise setShares(MyMoneyMoney).
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*
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* @param value the value to be assiged
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* @param transactionCurrencyId the id of the currency assigned to the transaction
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* @param splitCurrencyId the id of the currency assigned to the split (i.e. the
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* the id of the currency assigned to the account that is
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* referenced by the split)
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*/
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void setValue(const MyMoneyMoney& value, const TQString& transactionCurrencyId, const TQString& splitCurrencyId);
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void setAccountId(const TQString& account);
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void setMemo(const TQString& memo);
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void setReconcileFlag(const reconcileFlagE flag);
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void setReconcileDate(const TQDate& date);
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void setPayeeId(const TQString& payee);
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void setAction(const TQString& action);
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void setAction(investTransactionTypeE type);
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void setNumber(const TQString& number);
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void setBankID(const TQString& bankID) { m_bankID = bankID; };
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void setTransactionId(const TQString& id) { m_transactionId = id; }
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/**
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* returns @a true if this its a transaction matched against an imported
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* transaction. The imported and matched transaction can be extracted
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* using matchedTransaction() and can be removed using removeMatch().
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*/
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bool isMatched(void) const;
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/**
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* add an imported transaction @p t as matching transaction. Any previously
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* added transaction will be overridden. @p t.isImported() must return true,
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* otherwise the transaction is not stored.
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*/
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void addMatch(const MyMoneyTransaction& t);
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/**
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* remove the data of the imported transaction added with addMatch().
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*/
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void removeMatch(void);
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/**
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* Return the matching imported transaction. If no such transaction
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* is available (isMatched() returns false) an empty transaction is returned.
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*/
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MyMoneyTransaction matchedTransaction(void) const;
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static const char ActionCheck[];
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static const char ActionDeposit[];
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static const char ActionTransfer[];
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static const char ActionWithdrawal[];
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static const char ActionATM[];
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static const char ActionAmortization[];
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static const char ActionInterest[];
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static const char ActionBuyShares[]; // negative amount is sellShares
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static const char ActionDividend[];
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static const char ActionReinvestDividend[];
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static const char ActionYield[];
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static const char ActionAddShares[]; // negative amount is removeShares
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static const char ActionSplitShares[];
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private:
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/**
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* This member contains the ID of the transaction
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*/
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TQString m_id;
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/**
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* This member contains the ID of the payee
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*/
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TQString m_payee;
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/**
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* This member contains the ID of the account
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*/
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TQString m_account;
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/**
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*/
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MyMoneyMoney m_shares;
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/**
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*/
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MyMoneyMoney m_value;
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/**
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* If the quotient of m_shares divided by m_values is not the correct price
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* because of truncation, the price can be stored in this member. For display
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* purpose and transaction edit this value can be used by the application.
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*/
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MyMoneyMoney m_price;
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TQString m_memo;
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/**
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* This member contains information about the reconciliation
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* state of the split. Possible values are
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*
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* @li NotReconciled
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* @li Cleared
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* @li Reconciled
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* @li Frozen
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*
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*/
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reconcileFlagE m_reconcileFlag;
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/**
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* In case the reconciliation flag is set to Reconciled or Frozen
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* this member contains the date of the reconciliation.
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*/
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TQDate m_reconcileDate;
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/**
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* The m_action member is an arbitrary string, but is intended to
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* be conveniently limited to a menu of selections such as
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* "Buy", "Sell", "Interest", etc.
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*/
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TQString m_action;
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/**
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* The m_number member is used to store a reference number to
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* the split supplied by the user (e.g. check number, etc.).
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*/
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TQString m_number;
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/**
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* This member keeps the bank's unique ID for the split, so we can
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* avoid duplicates. This is only used for electronic statement downloads.
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*
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* This should only be set on the split which refers to the account
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* that was downloaded.
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*/
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TQString m_bankID;
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/**
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* This member keeps a backward id to the transaction that this
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* split can be found in. It is the purpose of the MyMoneyTransaction
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* object to maintain this member variable.
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*/
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TQString m_transactionId;
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};
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#endif
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