We are proud to announce the release of V1.13.6961.30103!
This release contains a number of bug fixes, enhancements and a new feature.
- Added a currency column to the trade expenses view.
- Improved account transactions view. Descriptions have been improved.
- Improved the performance of grid views.
- Fixed a bug where clicking ‘Back’ in the ‘Transaction Import Wizard’ could lead to duplicate entries.
- Fixed a bug that occurred when the trade expense currency was different to the account currency.
- Fixed a bug where you could not fix certain data errors in the transaction import wizard.
- Fixed a bug when selecting a ‘Trade Group Union’ in the trade filters window.
- Fixed a bug in the assignments page when adding a dividend or trust distribution and you have a margin trade.
- Fixed a naming error in ‘Dividends’ window help.
- Fixed a bug where income re-invested share trades would appear as an account transaction.
- Fixed a bug where you could not enter a stop loss for a reinvested share trade.
- Fixed a bug in ‘Trade’ domain formulas where ‘PercentProfitLoss’ could be null instead of the correct value 0