-- Hoogle documentation, generated by Haddock
-- See Hoogle, http://www.haskell.org/hoogle/


-- | A library providing the core functionality of hledger
--   
--   This library contains hledger's core functionality. It is used by most
--   hledger* packages so that they support the same command line options,
--   file formats, reports, etc.
--   
--   hledger is a robust, cross-platform set of tools for tracking money,
--   time, or any other commodity, using double-entry accounting and a
--   simple, editable file format, with command-line, terminal and web
--   interfaces. It is a Haskell rewrite of Ledger, and one of the leading
--   implementations of Plain Text Accounting.
--   
--   See also:
--   
--   <ul>
--   <li><a>https://hledger.org</a> - hledger's home page</li>
--   <li><a>https://hledger.org/dev.html</a> - starting point for hledger's
--   developer docs</li>
--   
--   <li><a>https://hackage.haskell.org/package/hledger-lib/docs/Hledger.html</a>
--   - starting point for hledger's haddock docs</li>
--   </ul>
@package hledger-lib
@version 1.32.3


-- | Easy regular expression helpers, currently based on regex-tdfa. These
--   should:
--   
--   <ul>
--   <li>be cross-platform, not requiring C libraries</li>
--   <li>support unicode</li>
--   <li>support extended regular expressions</li>
--   <li>support replacement, with backreferences etc.</li>
--   <li>support splitting</li>
--   <li>have mnemonic names</li>
--   <li>have simple monomorphic types</li>
--   <li>work with simple strings</li>
--   </ul>
--   
--   Regex strings are automatically compiled into regular expressions the
--   first time they are seen, and these are cached. If you use a huge
--   number of unique regular expressions this might lead to increased
--   memory usage. Several functions have memoised variants (*Memo), which
--   also trade space for time.
--   
--   Currently two APIs are provided:
--   
--   <ul>
--   <li>The old partial one (with ' suffixes') which will call error on
--   any problem (eg with malformed regexps). This comes from hledger's
--   origin as a command-line tool.</li>
--   <li>The new total one which will return an error message. This is
--   better for long-running apps like hledger-web.</li>
--   </ul>
--   
--   Current limitations:
--   
--   <ul>
--   <li>(?i) and similar are not supported</li>
--   </ul>
module Hledger.Utils.Regex

-- | Regular expression. Extended regular expression-ish syntax ? But does
--   not support eg (?i) syntax.
data Regexp
toRegex :: Text -> Either RegexError Regexp
toRegexCI :: Text -> Either RegexError Regexp
toRegex' :: Text -> Regexp
toRegexCI' :: Text -> Regexp

-- | A replacement pattern. May include numeric backreferences (N).
type Replacement = String

-- | An error message arising during a regular expression operation. Eg:
--   trying to compile a malformed regular expression, or trying to apply a
--   malformed replacement pattern.
type RegexError = String

-- | Test whether a Regexp matches a String. This is an alias for
--   <a>matchTest</a> for consistent naming.
regexMatch :: Regexp -> String -> Bool

-- | Tests whether a Regexp matches a Text.
--   
--   This currently unpacks the Text to a String an works on that. This is
--   due to a performance bug in regex-tdfa (#9), which may or may not be
--   relevant here.
regexMatchText :: Regexp -> Text -> Bool

-- | Return a (possibly empty) list of match groups derived by applying the
--   Regex to a Text.
regexMatchTextGroups :: Regexp -> Text -> [Text]

-- | A memoising version of regexReplace. Caches the result for each search
--   pattern, replacement pattern, target string tuple. This won't generate
--   a regular expression parsing error since that is pre-compiled
--   nowadays, but there can still be a runtime error from the replacement
--   pattern, eg with a backreference referring to a nonexistent match
--   group.
regexReplace :: Regexp -> Replacement -> String -> Either RegexError String
regexReplaceUnmemo :: Regexp -> Replacement -> String -> Either RegexError String
regexReplaceAllBy :: Regexp -> (String -> String) -> String -> String
instance GHC.Classes.Eq Hledger.Utils.Regex.Regexp
instance GHC.Classes.Ord Hledger.Utils.Regex.Regexp
instance GHC.Show.Show Hledger.Utils.Regex.Regexp
instance GHC.Read.Read Hledger.Utils.Regex.Regexp
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Utils.Regex.Regexp
instance Text.Regex.Base.RegexLike.RegexLike Hledger.Utils.Regex.Regexp GHC.Base.String
instance Text.Regex.Base.RegexLike.RegexContext Hledger.Utils.Regex.Regexp GHC.Base.String GHC.Base.String


-- | Most data types are defined here to avoid import cycles. Here is an
--   overview of the hledger data model:
--   
--   <pre>
--   Journal                  -- a journal is read from one or more data files. It contains..
--    [Transaction]           -- journal transactions (aka entries), which have date, cleared status, code, description and..
--     [Posting]              -- multiple account postings, which have account name and amount
--    [MarketPrice]           -- historical market prices for commodities
--   
--   Ledger                   -- a ledger is derived from a journal, by applying a filter specification and doing some further processing. It contains..
--    Journal                 -- a filtered copy of the original journal, containing only the transactions and postings we are interested in
--    [Account]               -- all accounts, in tree order beginning with a "root" account", with their balances and sub/parent accounts
--   </pre>
--   
--   For more detailed documentation on each type, see the corresponding
--   modules.
module Hledger.Data.Types

-- | Stores the CommoditySymbol of the Amount, along with the
--   CommoditySymbol of the price, and its unit price if being used.
data MixedAmountKey
MixedAmountKeyNoPrice :: !CommoditySymbol -> MixedAmountKey
MixedAmountKeyTotalPrice :: !CommoditySymbol -> !CommoditySymbol -> MixedAmountKey
MixedAmountKeyUnitPrice :: !CommoditySymbol -> !CommoditySymbol -> !Quantity -> MixedAmountKey

-- | An account, with its balances, parent/subaccount relationships, etc.
--   Only the name is required; the other fields are added when needed.
data Account
Account :: AccountName -> Maybe AccountDeclarationInfo -> [Account] -> Maybe Account -> Bool -> Int -> MixedAmount -> MixedAmount -> Account

-- | this account's full name
[aname] :: Account -> AccountName

-- | optional extra info from account directives relationships in the tree
[adeclarationinfo] :: Account -> Maybe AccountDeclarationInfo

-- | this account's sub-accounts
[asubs] :: Account -> [Account]

-- | parent account
[aparent] :: Account -> Maybe Account

-- | used in the accounts report to label elidable parents balance
--   information
[aboring] :: Account -> Bool

-- | the number of postings to this account
[anumpostings] :: Account -> Int

-- | this account's balance, excluding subaccounts
[aebalance] :: Account -> MixedAmount

-- | this account's balance, including subaccounts
[aibalance] :: Account -> MixedAmount
type AccountName = Text
data Amount
Amount :: !CommoditySymbol -> !Quantity -> !AmountStyle -> !Maybe AmountPrice -> Amount
[acommodity] :: Amount -> !CommoditySymbol
[aquantity] :: Amount -> !Quantity
[astyle] :: Amount -> !AmountStyle

-- | the (fixed, transaction-specific) price for this amount, if any
[aprice] :: Amount -> !Maybe AmountPrice

-- | A Journal, containing transactions and various other things. The basic
--   data model for hledger.
--   
--   This is used during parsing (as the type alias ParsedJournal), and
--   then finalised/validated for use as a Journal. Some extra
--   parsing-related fields are included for convenience, at least for now.
--   In a ParsedJournal these are updated as parsing proceeds, in a Journal
--   they represent the final state at end of parsing (used eg by the add
--   command).
data Journal
Journal :: Maybe Year -> Maybe (CommoditySymbol, AmountStyle) -> Maybe DecimalMark -> [AccountName] -> [AccountAlias] -> [TimeclockEntry] -> [FilePath] -> [(Payee, PayeeDeclarationInfo)] -> [(TagName, TagDeclarationInfo)] -> [(AccountName, AccountDeclarationInfo)] -> Map AccountName [Tag] -> Map AccountType [AccountName] -> Map AccountName AccountType -> Map CommoditySymbol AmountStyle -> Map CommoditySymbol Commodity -> Map CommoditySymbol AmountStyle -> [PriceDirective] -> [MarketPrice] -> [TransactionModifier] -> [PeriodicTransaction] -> [Transaction] -> Text -> [(FilePath, Text)] -> POSIXTime -> Journal

-- | the current default year, specified by the most recent Y directive (or
--   current date)
[jparsedefaultyear] :: Journal -> Maybe Year

-- | the current default commodity and its format, specified by the most
--   recent D directive
[jparsedefaultcommodity] :: Journal -> Maybe (CommoditySymbol, AmountStyle)

-- | the character to always parse as decimal point, if set by CsvReader's
--   decimal-mark (or a future journal directive)
[jparsedecimalmark] :: Journal -> Maybe DecimalMark

-- | the current stack of parent account names, specified by apply account
--   directives
[jparseparentaccounts] :: Journal -> [AccountName]

-- | the current account name aliases in effect, specified by alias
--   directives (&amp; options ?) ,jparsetransactioncount :: Integer -- ^
--   the current count of transactions parsed so far (only journal format
--   txns, currently)
[jparsealiases] :: Journal -> [AccountAlias]

-- | timeclock sessions which have not been clocked out
[jparsetimeclockentries] :: Journal -> [TimeclockEntry]
[jincludefilestack] :: Journal -> [FilePath]

-- | Payees declared by payee directives, in parse order (after journal
--   finalisation)
[jdeclaredpayees] :: Journal -> [(Payee, PayeeDeclarationInfo)]

-- | Tags declared by tag directives, in parse order (after journal
--   finalisation)
[jdeclaredtags] :: Journal -> [(TagName, TagDeclarationInfo)]

-- | Accounts declared by account directives, in parse order (after journal
--   finalisation)
[jdeclaredaccounts] :: Journal -> [(AccountName, AccountDeclarationInfo)]

-- | Accounts which have tags declared in their directives, and those tags.
--   (Does not include parents' tags.)
[jdeclaredaccounttags] :: Journal -> Map AccountName [Tag]

-- | Accounts whose type has been explicitly declared in their account
--   directives, grouped by type.
[jdeclaredaccounttypes] :: Journal -> Map AccountType [AccountName]

-- | All accounts for which a type has been declared or can be inferred
--   from its parent or its name.
[jaccounttypes] :: Journal -> Map AccountName AccountType

-- | per-commodity display styles declared globally, eg by command line
--   option or import command
[jglobalcommoditystyles] :: Journal -> Map CommoditySymbol AmountStyle

-- | commodities and formats declared by commodity directives
[jcommodities] :: Journal -> Map CommoditySymbol Commodity

-- | commodities and formats inferred from journal amounts
[jinferredcommodities] :: Journal -> Map CommoditySymbol AmountStyle

-- | Declarations of market prices by P directives, in parse order (after
--   journal finalisation)
[jpricedirectives] :: Journal -> [PriceDirective]

-- | Market prices implied by transactions, in parse order (after journal
--   finalisation)
[jinferredmarketprices] :: Journal -> [MarketPrice]
[jtxnmodifiers] :: Journal -> [TransactionModifier]
[jperiodictxns] :: Journal -> [PeriodicTransaction]
[jtxns] :: Journal -> [Transaction]

-- | any final trailing comments in the (main) journal file
[jfinalcommentlines] :: Journal -> Text

-- | the file path and raw text of the main and any included journal files.
--   The main file is first, followed by any included files in the order
--   encountered. TODO: FilePath is a sloppy type here, don't assume it's a
--   real file; values like "", "-", "(string)" can be seen
[jfiles] :: Journal -> [(FilePath, Text)]

-- | when this journal was last read from its file(s) NOTE: after adding
--   new fields, eg involving account names, consider updating the Anon
--   instance in Hleger.Cli.Anon
[jlastreadtime] :: Journal -> POSIXTime

-- | A Ledger has the journal it derives from, and the accounts derived
--   from that. Accounts are accessible both list-wise and tree-wise, since
--   each one knows its parent and subs; the first account is the root of
--   the tree and always exists.
data Ledger
Ledger :: Journal -> [Account] -> Ledger
[ljournal] :: Ledger -> Journal
[laccounts] :: Ledger -> [Account]
data Period
DayPeriod :: Day -> Period
WeekPeriod :: Day -> Period
MonthPeriod :: Year -> Month -> Period
QuarterPeriod :: Year -> Quarter -> Period
YearPeriod :: Year -> Period
PeriodBetween :: Day -> Day -> Period
PeriodFrom :: Day -> Period
PeriodTo :: Day -> Period
PeriodAll :: Period

-- | A periodic transaction rule, describing a transaction that recurs.
data PeriodicTransaction
PeriodicTransaction :: Text -> Interval -> DateSpan -> (SourcePos, SourcePos) -> Status -> Text -> Text -> Text -> [Tag] -> [Posting] -> PeriodicTransaction

-- | the period expression as written
[ptperiodexpr] :: PeriodicTransaction -> Text

-- | the interval at which this transaction recurs
[ptinterval] :: PeriodicTransaction -> Interval

-- | the (possibly unbounded) period during which this transaction recurs.
--   Contains a whole number of intervals.
[ptspan] :: PeriodicTransaction -> DateSpan

-- | the file position where the period expression starts, and where the
--   last posting ends
[ptsourcepos] :: PeriodicTransaction -> (SourcePos, SourcePos)

-- | some of Transaction's fields
[ptstatus] :: PeriodicTransaction -> Status
[ptcode] :: PeriodicTransaction -> Text
[ptdescription] :: PeriodicTransaction -> Text
[ptcomment] :: PeriodicTransaction -> Text
[pttags] :: PeriodicTransaction -> [Tag]
[ptpostings] :: PeriodicTransaction -> [Posting]
data Posting
Posting :: Maybe Day -> Maybe Day -> Status -> AccountName -> MixedAmount -> Text -> PostingType -> [Tag] -> Maybe BalanceAssertion -> Maybe Transaction -> Maybe Posting -> Posting

-- | this posting's date, if different from the transaction's
[pdate] :: Posting -> Maybe Day

-- | this posting's secondary date, if different from the transaction's
[pdate2] :: Posting -> Maybe Day
[pstatus] :: Posting -> Status
[paccount] :: Posting -> AccountName
[pamount] :: Posting -> MixedAmount

-- | this posting's comment lines, as a single non-indented multi-line
--   string
[pcomment] :: Posting -> Text
[ptype] :: Posting -> PostingType

-- | tag names and values, extracted from the posting comment and (after
--   finalisation) the posting account's directive if any
[ptags] :: Posting -> [Tag]

-- | an expected balance in the account after this posting, in a single
--   commodity, excluding subaccounts.
[pbalanceassertion] :: Posting -> Maybe BalanceAssertion

-- | this posting's parent transaction (co-recursive types). Tying this
--   knot gets tedious, Maybe makes it easier/optional.
[ptransaction] :: Posting -> Maybe Transaction

-- | When this posting has been transformed in some way (eg its amount or
--   price was inferred, or the account name was changed by a pivot or
--   budget report), this references the original untransformed posting
--   (which will have Nothing in this field).
[poriginal] :: Posting -> Maybe Posting
data Transaction
Transaction :: Integer -> Text -> (SourcePos, SourcePos) -> Day -> Maybe Day -> Status -> Text -> Text -> Text -> [Tag] -> [Posting] -> Transaction

-- | this transaction's 1-based position in the transaction stream, or 0
--   when not available
[tindex] :: Transaction -> Integer

-- | any comment lines immediately preceding this transaction
[tprecedingcomment] :: Transaction -> Text

-- | the file position where the date starts, and where the last posting
--   ends
[tsourcepos] :: Transaction -> (SourcePos, SourcePos)
[tdate] :: Transaction -> Day
[tdate2] :: Transaction -> Maybe Day
[tstatus] :: Transaction -> Status
[tcode] :: Transaction -> Text
[tdescription] :: Transaction -> Text

-- | this transaction's comment lines, as a single non-indented multi-line
--   string
[tcomment] :: Transaction -> Text

-- | tag names and values, extracted from the comment
[ttags] :: Transaction -> [Tag]

-- | this transaction's postings
[tpostings] :: Transaction -> [Posting]

-- | A transaction modifier rule. This has a query which matches postings
--   in the journal, and a list of transformations to apply to those
--   postings or their transactions. Currently there is one kind of
--   transformation: the TMPostingRule, which adds a posting ("auto
--   posting") to the transaction, optionally setting its amount to the
--   matched posting's amount multiplied by a constant.
data TransactionModifier
TransactionModifier :: Text -> [TMPostingRule] -> TransactionModifier
[tmquerytxt] :: TransactionModifier -> Text
[tmpostingrules] :: TransactionModifier -> [TMPostingRule]
type MonthDay = Int
type Month = Int
type YearDay = Int
type Quarter = Int
type Tag = -- | A tag name and (possibly empty) value. (TagName, TagValue)
type YearWeek = Int
type MonthWeek = Int
type WeekDay = Int

-- | A possibly incomplete year-month-day date provided by the user, to be
--   interpreted as either a date or a date span depending on context.
--   Missing parts "on the left" will be filled from the provided reference
--   date, e.g. if the year and month are missing, the reference date's
--   year and month are used. Missing parts "on the right" are assumed,
--   when interpreting as a date, to be 1, (e.g. if the year and month are
--   present but the day is missing, it means first day of that month); or
--   when interpreting as a date span, to be a wildcard (so it would mean
--   all days of that month). See the <tt>smartdate</tt> parser for more
--   examples.
--   
--   Or, one of the standard periods and an offset relative to the
--   reference date: (last|this|next) (day|week|month|quarter|year), where
--   "this" means the period containing the reference date.
data SmartDate
SmartCompleteDate :: Day -> SmartDate
SmartAssumeStart :: Year -> Maybe Month -> SmartDate
SmartFromReference :: Maybe Month -> MonthDay -> SmartDate
SmartMonth :: Month -> SmartDate
SmartRelative :: Integer -> SmartInterval -> SmartDate
data SmartInterval
Day :: SmartInterval
Week :: SmartInterval
Month :: SmartInterval
Quarter :: SmartInterval
Year :: SmartInterval
data WhichDate
PrimaryDate :: WhichDate
SecondaryDate :: WhichDate

-- | A date which is either exact or flexible. Flexible dates are allowed
--   to be adjusted in certain situations.
data EFDay
Exact :: Day -> EFDay
Flex :: Day -> EFDay

-- | A possibly open-ended span of time, from an optional inclusive start
--   date to an optional exclusive end date. Each date can be either exact
--   or flexible. An "exact date span" is a Datepan with exact start and
--   end dates.
data DateSpan
DateSpan :: Maybe EFDay -> Maybe EFDay -> DateSpan
data Interval
NoInterval :: Interval
Days :: Int -> Interval
Weeks :: Int -> Interval
Months :: Int -> Interval
Quarters :: Int -> Interval
Years :: Int -> Interval
DayOfMonth :: Int -> Interval
WeekdayOfMonth :: Int -> Int -> Interval
DaysOfWeek :: [Int] -> Interval
DayOfYear :: Int -> Int -> Interval
type Payee = Text
data AccountType
Asset :: AccountType
Liability :: AccountType
Equity :: AccountType
Revenue :: AccountType
Expense :: AccountType

-- | a subtype of Asset - liquid assets to show in cashflow report
Cash :: AccountType

-- | a subtype of Equity - account in which to generate conversion postings
--   for transaction prices
Conversion :: AccountType
data AccountAlias
BasicAlias :: AccountName -> AccountName -> AccountAlias
RegexAlias :: Regexp -> Replacement -> AccountAlias
data Side
L :: Side
R :: Side

-- | One of the decimal marks we support: either period or comma.
type DecimalMark = Char

-- | The basic numeric type used in amounts.
type Quantity = Decimal

-- | An amount's per-unit or total cost/selling price in another commodity,
--   as recorded in the journal entry eg with <tt> or </tt>@. <a>Cost</a>,
--   formerly AKA "transaction price". The amount is always positive.
data AmountPrice
UnitPrice :: !Amount -> AmountPrice
TotalPrice :: !Amount -> AmountPrice

-- | Every Amount has one of these, influencing how the amount is
--   displayed. Also, each Commodity can have one, which can be applied to
--   its amounts for consistent display. See also Amount.AmountDisplayOpts.
data AmountStyle
AmountStyle :: !Side -> !Bool -> !Maybe DigitGroupStyle -> !Maybe Char -> !AmountPrecision -> !Rounding -> AmountStyle

-- | show the symbol on the left or the right ?
[ascommodityside] :: AmountStyle -> !Side

-- | show a space between symbol and quantity ?
[ascommodityspaced] :: AmountStyle -> !Bool

-- | show the integer part with these digit group marks, or not
[asdigitgroups] :: AmountStyle -> !Maybe DigitGroupStyle

-- | show this character (should be . or ,) as decimal mark, or use the
--   default (.)
[asdecimalmark] :: AmountStyle -> !Maybe Char

-- | "display precision" - show this number of digits after the decimal
--   point
[asprecision] :: AmountStyle -> !AmountPrecision

-- | "rounding strategy" - kept here for convenience, for now: when
--   displaying an amount, it is ignored, but when applying this style to
--   another amount, it determines how hard we should try to adjust the
--   amount's display precision.
[asrounding] :: AmountStyle -> !Rounding

-- | A style for displaying digit groups in the integer part of a floating
--   point number. It consists of the character used to separate groups
--   (comma or period, whichever is not used as decimal point), and the
--   size of each group, starting with the one nearest the decimal point.
--   The last group size is assumed to repeat. Eg, comma between thousands
--   is DigitGroups ',' [3].
data DigitGroupStyle
DigitGroups :: !Char -> ![Word8] -> DigitGroupStyle

-- | The "display precision" for a hledger amount, by which we mean the
--   number of decimal digits to display to the right of the decimal mark.
data AmountPrecision

-- | show this many decimal digits (0..255)
Precision :: !Word8 -> AmountPrecision

-- | show all significant decimal digits stored internally
NaturalPrecision :: AmountPrecision

-- | "Rounding strategy" - how to apply an AmountStyle's display precision
--   to a posting amount (and its cost, if any). Mainly used to customise
--   print's output, with --round=none|soft|hard|all.
data Rounding

-- | keep display precisions unchanged in amt and cost
NoRounding :: Rounding

-- | do soft rounding of amt and cost amounts (show more or fewer decimal
--   zeros to approximate the target precision, but don't hide significant
--   digits)
SoftRounding :: Rounding

-- | do hard rounding of amt (use the exact target precision, possibly
--   hiding significant digits), and soft rounding of cost
HardRounding :: Rounding

-- | do hard rounding of amt and cost
AllRounding :: Rounding
type CommoditySymbol = Text
data Commodity
Commodity :: CommoditySymbol -> Maybe AmountStyle -> Commodity
[csymbol] :: Commodity -> CommoditySymbol
[cformat] :: Commodity -> Maybe AmountStyle

-- | Types with this class have one or more amounts, which can have display
--   styles applied to them.
class HasAmounts a
styleAmounts :: HasAmounts a => Map CommoditySymbol AmountStyle -> a -> a
newtype MixedAmount
Mixed :: Map MixedAmountKey Amount -> MixedAmount
data PostingType
RegularPosting :: PostingType
VirtualPosting :: PostingType
BalancedVirtualPosting :: PostingType
type TagName = Text
type TagValue = Text
type DateTag = (TagName, Day)

-- | The status of a transaction or posting, recorded with a status mark
--   (nothing, !, or *). What these mean is ultimately user defined.
data Status
Unmarked :: Status
Pending :: Status
Cleared :: Status

-- | A balance assertion is a declaration about an account's expected
--   balance at a certain point (posting date and parse order). They
--   provide additional error checking and readability to a journal file.
--   
--   A balance assignments is an instruction to hledger to adjust an
--   account's balance to a certain amount at a certain point.
--   
--   The <a>BalanceAssertion</a> type is used for representing both of
--   these.
--   
--   hledger supports multiple kinds of balance assertions/assignments,
--   which differ in whether they refer to a single commodity or all
--   commodities, and the (subaccount-)inclusive or exclusive account
--   balance.
data BalanceAssertion
BalanceAssertion :: Amount -> Bool -> Bool -> SourcePos -> BalanceAssertion

-- | the expected balance in a particular commodity
[baamount] :: BalanceAssertion -> Amount

-- | disallow additional non-asserted commodities ?
[batotal] :: BalanceAssertion -> Bool

-- | include subaccounts when calculating the actual balance ?
[bainclusive] :: BalanceAssertion -> Bool

-- | the assertion's file position, for error reporting
[baposition] :: BalanceAssertion -> SourcePos

-- | A transaction modifier transformation, which adds an extra posting to
--   the matched posting's transaction. Can be like a regular posting, or
--   can have the tmprIsMultiplier flag set, indicating that it's a
--   multiplier for the matched posting's amount.
data TMPostingRule
TMPostingRule :: Posting -> Bool -> TMPostingRule
[tmprPosting] :: TMPostingRule -> Posting
[tmprIsMultiplier] :: TMPostingRule -> Bool
data TimeclockCode
SetBalance :: TimeclockCode
SetRequiredHours :: TimeclockCode
In :: TimeclockCode
Out :: TimeclockCode
FinalOut :: TimeclockCode
data TimeclockEntry
TimeclockEntry :: SourcePos -> TimeclockCode -> LocalTime -> AccountName -> Text -> Text -> [Tag] -> TimeclockEntry
[tlsourcepos] :: TimeclockEntry -> SourcePos
[tlcode] :: TimeclockEntry -> TimeclockCode
[tldatetime] :: TimeclockEntry -> LocalTime
[tlaccount] :: TimeclockEntry -> AccountName
[tldescription] :: TimeclockEntry -> Text
[tlcomment] :: TimeclockEntry -> Text
[tltags] :: TimeclockEntry -> [Tag]

-- | A market price declaration made by the journal format's P directive.
--   It declares two things: a historical exchange rate between two
--   commodities, and an amount display style for the second commodity.
data PriceDirective
PriceDirective :: Day -> CommoditySymbol -> Amount -> PriceDirective
[pddate] :: PriceDirective -> Day
[pdcommodity] :: PriceDirective -> CommoditySymbol
[pdamount] :: PriceDirective -> Amount

-- | A historical market price (exchange rate) from one commodity to
--   another. A more concise form of a PriceDirective, without the amount
--   display info.
data MarketPrice
MarketPrice :: Day -> CommoditySymbol -> CommoditySymbol -> Quantity -> MarketPrice

-- | Date on which this price becomes effective.
[mpdate] :: MarketPrice -> Day

-- | The commodity being converted from.
[mpfrom] :: MarketPrice -> CommoditySymbol

-- | The commodity being converted to.
[mpto] :: MarketPrice -> CommoditySymbol

-- | One unit of the "from" commodity is worth this quantity of the "to"
--   commodity.
[mprate] :: MarketPrice -> Quantity

-- | Extra information found in a payee directive.
data PayeeDeclarationInfo
PayeeDeclarationInfo :: Text -> [Tag] -> PayeeDeclarationInfo

-- | any comment lines following the payee directive
[pdicomment] :: PayeeDeclarationInfo -> Text

-- | tags extracted from the comment, if any
[pditags] :: PayeeDeclarationInfo -> [Tag]

-- | Extra information found in a tag directive.
newtype TagDeclarationInfo
TagDeclarationInfo :: Text -> TagDeclarationInfo

-- | any comment lines following the tag directive. No tags allowed here.
[tdicomment] :: TagDeclarationInfo -> Text

-- | Extra information about an account that can be derived from its
--   account directive (and the other account directives).
data AccountDeclarationInfo
AccountDeclarationInfo :: Text -> [Tag] -> Int -> SourcePos -> AccountDeclarationInfo

-- | any comment lines following an account directive for this account
[adicomment] :: AccountDeclarationInfo -> Text

-- | tags extracted from the account comment, if any
[aditags] :: AccountDeclarationInfo -> [Tag]

-- | the order in which this account was declared, relative to other
--   account declarations, during parsing (1..)
[adideclarationorder] :: AccountDeclarationInfo -> Int

-- | source file and position
[adisourcepos] :: AccountDeclarationInfo -> SourcePos

-- | A journal in the process of being parsed, not yet finalised. The data
--   is partial, and list fields are in reverse order.
type ParsedJournal = Journal

-- | The id of a data format understood by hledger, eg <tt>journal</tt> or
--   <tt>csv</tt>. The --output-format option selects one of these for
--   output.
type StorageFormat = String

-- | Whether an account's balance is normally a positive number (in
--   accounting terms, a debit balance) or a negative number (credit
--   balance). Assets and expenses are normally positive (debit), while
--   liabilities, equity and income are normally negative (credit).
--   <a>https://en.wikipedia.org/wiki/Normal_balance</a>
data NormalSign
NormallyPositive :: NormalSign
NormallyNegative :: NormalSign
fromEFDay :: EFDay -> Day
modifyEFDay :: (Day -> Day) -> EFDay -> EFDay
isBalanceSheetAccountType :: AccountType -> Bool
isIncomeStatementAccountType :: AccountType -> Bool

-- | Check whether the first argument is a subtype of the second: either
--   equal or one of the defined subtypes.
isAccountSubtypeOf :: AccountType -> AccountType -> Bool
isDecimalMark :: Char -> Bool

-- | Compare two MixedAmounts, substituting 0 for the quantity of any
--   missing commodities in either.
maCompare :: MixedAmount -> MixedAmount -> Ordering
nulltransactionmodifier :: TransactionModifier
nullperiodictransaction :: PeriodicTransaction
nullpayeedeclarationinfo :: PayeeDeclarationInfo
nulltagdeclarationinfo :: TagDeclarationInfo
nullaccountdeclarationinfo :: AccountDeclarationInfo
type Year = Integer
instance GHC.Show.Show Hledger.Data.Types.SmartInterval
instance GHC.Show.Show Hledger.Data.Types.SmartDate
instance GHC.Show.Show Hledger.Data.Types.WhichDate
instance GHC.Classes.Eq Hledger.Data.Types.WhichDate
instance GHC.Show.Show Hledger.Data.Types.EFDay
instance GHC.Generics.Generic Hledger.Data.Types.EFDay
instance GHC.Classes.Eq Hledger.Data.Types.EFDay
instance GHC.Generics.Generic Hledger.Data.Types.DateSpan
instance GHC.Classes.Ord Hledger.Data.Types.DateSpan
instance GHC.Classes.Eq Hledger.Data.Types.DateSpan
instance GHC.Generics.Generic Hledger.Data.Types.Period
instance GHC.Show.Show Hledger.Data.Types.Period
instance GHC.Classes.Ord Hledger.Data.Types.Period
instance GHC.Classes.Eq Hledger.Data.Types.Period
instance GHC.Generics.Generic Hledger.Data.Types.Interval
instance GHC.Classes.Ord Hledger.Data.Types.Interval
instance GHC.Show.Show Hledger.Data.Types.Interval
instance GHC.Classes.Eq Hledger.Data.Types.Interval
instance GHC.Generics.Generic Hledger.Data.Types.AccountType
instance GHC.Classes.Ord Hledger.Data.Types.AccountType
instance GHC.Classes.Eq Hledger.Data.Types.AccountType
instance GHC.Generics.Generic Hledger.Data.Types.AccountAlias
instance GHC.Classes.Ord Hledger.Data.Types.AccountAlias
instance GHC.Show.Show Hledger.Data.Types.AccountAlias
instance GHC.Read.Read Hledger.Data.Types.AccountAlias
instance GHC.Classes.Eq Hledger.Data.Types.AccountAlias
instance GHC.Generics.Generic Hledger.Data.Types.Side
instance GHC.Classes.Ord Hledger.Data.Types.Side
instance GHC.Read.Read Hledger.Data.Types.Side
instance GHC.Show.Show Hledger.Data.Types.Side
instance GHC.Classes.Eq Hledger.Data.Types.Side
instance GHC.Generics.Generic Hledger.Data.Types.AmountPrecision
instance GHC.Show.Show Hledger.Data.Types.AmountPrecision
instance GHC.Read.Read Hledger.Data.Types.AmountPrecision
instance GHC.Classes.Ord Hledger.Data.Types.AmountPrecision
instance GHC.Classes.Eq Hledger.Data.Types.AmountPrecision
instance GHC.Generics.Generic Hledger.Data.Types.Rounding
instance GHC.Show.Show Hledger.Data.Types.Rounding
instance GHC.Read.Read Hledger.Data.Types.Rounding
instance GHC.Classes.Ord Hledger.Data.Types.Rounding
instance GHC.Classes.Eq Hledger.Data.Types.Rounding
instance GHC.Generics.Generic Hledger.Data.Types.DigitGroupStyle
instance GHC.Show.Show Hledger.Data.Types.DigitGroupStyle
instance GHC.Read.Read Hledger.Data.Types.DigitGroupStyle
instance GHC.Classes.Ord Hledger.Data.Types.DigitGroupStyle
instance GHC.Classes.Eq Hledger.Data.Types.DigitGroupStyle
instance GHC.Generics.Generic Hledger.Data.Types.AmountStyle
instance GHC.Read.Read Hledger.Data.Types.AmountStyle
instance GHC.Classes.Ord Hledger.Data.Types.AmountStyle
instance GHC.Classes.Eq Hledger.Data.Types.AmountStyle
instance GHC.Generics.Generic Hledger.Data.Types.Commodity
instance GHC.Classes.Eq Hledger.Data.Types.Commodity
instance GHC.Show.Show Hledger.Data.Types.Commodity
instance GHC.Show.Show Hledger.Data.Types.AmountPrice
instance GHC.Generics.Generic Hledger.Data.Types.AmountPrice
instance GHC.Classes.Ord Hledger.Data.Types.AmountPrice
instance GHC.Classes.Eq Hledger.Data.Types.AmountPrice
instance GHC.Show.Show Hledger.Data.Types.Amount
instance GHC.Generics.Generic Hledger.Data.Types.Amount
instance GHC.Classes.Ord Hledger.Data.Types.Amount
instance GHC.Classes.Eq Hledger.Data.Types.Amount
instance GHC.Show.Show Hledger.Data.Types.MixedAmountKey
instance GHC.Generics.Generic Hledger.Data.Types.MixedAmountKey
instance GHC.Classes.Eq Hledger.Data.Types.MixedAmountKey
instance GHC.Show.Show Hledger.Data.Types.MixedAmount
instance GHC.Generics.Generic Hledger.Data.Types.MixedAmount
instance GHC.Generics.Generic Hledger.Data.Types.PostingType
instance GHC.Show.Show Hledger.Data.Types.PostingType
instance GHC.Classes.Eq Hledger.Data.Types.PostingType
instance GHC.Generics.Generic Hledger.Data.Types.Status
instance GHC.Enum.Enum Hledger.Data.Types.Status
instance GHC.Enum.Bounded Hledger.Data.Types.Status
instance GHC.Classes.Ord Hledger.Data.Types.Status
instance GHC.Classes.Eq Hledger.Data.Types.Status
instance GHC.Show.Show Hledger.Data.Types.BalanceAssertion
instance GHC.Generics.Generic Hledger.Data.Types.BalanceAssertion
instance GHC.Classes.Eq Hledger.Data.Types.BalanceAssertion
instance GHC.Generics.Generic Hledger.Data.Types.Posting
instance GHC.Show.Show Hledger.Data.Types.Transaction
instance GHC.Generics.Generic Hledger.Data.Types.Transaction
instance GHC.Classes.Eq Hledger.Data.Types.Transaction
instance GHC.Show.Show Hledger.Data.Types.TMPostingRule
instance GHC.Generics.Generic Hledger.Data.Types.TMPostingRule
instance GHC.Classes.Eq Hledger.Data.Types.TMPostingRule
instance GHC.Show.Show Hledger.Data.Types.TransactionModifier
instance GHC.Generics.Generic Hledger.Data.Types.TransactionModifier
instance GHC.Classes.Eq Hledger.Data.Types.TransactionModifier
instance GHC.Generics.Generic Hledger.Data.Types.PeriodicTransaction
instance GHC.Classes.Eq Hledger.Data.Types.PeriodicTransaction
instance GHC.Generics.Generic Hledger.Data.Types.TimeclockCode
instance GHC.Classes.Ord Hledger.Data.Types.TimeclockCode
instance GHC.Classes.Eq Hledger.Data.Types.TimeclockCode
instance GHC.Generics.Generic Hledger.Data.Types.TimeclockEntry
instance GHC.Classes.Ord Hledger.Data.Types.TimeclockEntry
instance GHC.Classes.Eq Hledger.Data.Types.TimeclockEntry
instance GHC.Show.Show Hledger.Data.Types.PriceDirective
instance GHC.Generics.Generic Hledger.Data.Types.PriceDirective
instance GHC.Classes.Ord Hledger.Data.Types.PriceDirective
instance GHC.Classes.Eq Hledger.Data.Types.PriceDirective
instance GHC.Show.Show Hledger.Data.Types.MarketPrice
instance GHC.Generics.Generic Hledger.Data.Types.MarketPrice
instance GHC.Classes.Ord Hledger.Data.Types.MarketPrice
instance GHC.Classes.Eq Hledger.Data.Types.MarketPrice
instance GHC.Generics.Generic Hledger.Data.Types.PayeeDeclarationInfo
instance GHC.Show.Show Hledger.Data.Types.PayeeDeclarationInfo
instance GHC.Classes.Eq Hledger.Data.Types.PayeeDeclarationInfo
instance GHC.Generics.Generic Hledger.Data.Types.TagDeclarationInfo
instance GHC.Show.Show Hledger.Data.Types.TagDeclarationInfo
instance GHC.Classes.Eq Hledger.Data.Types.TagDeclarationInfo
instance GHC.Generics.Generic Hledger.Data.Types.AccountDeclarationInfo
instance GHC.Show.Show Hledger.Data.Types.AccountDeclarationInfo
instance GHC.Classes.Eq Hledger.Data.Types.AccountDeclarationInfo
instance GHC.Generics.Generic Hledger.Data.Types.Journal
instance GHC.Classes.Eq Hledger.Data.Types.Journal
instance GHC.Generics.Generic Hledger.Data.Types.Account
instance GHC.Classes.Eq Hledger.Data.Types.NormalSign
instance GHC.Show.Show Hledger.Data.Types.NormalSign
instance GHC.Generics.Generic Hledger.Data.Types.Ledger
instance GHC.Generics.Generic (Data.Decimal.DecimalRaw a)
instance GHC.Classes.Eq Hledger.Data.Types.Posting
instance GHC.Show.Show Hledger.Data.Types.Posting
instance GHC.Show.Show Hledger.Data.Types.Status
instance GHC.Classes.Eq Hledger.Data.Types.MixedAmount
instance GHC.Classes.Ord Hledger.Data.Types.MixedAmount
instance GHC.Classes.Ord Hledger.Data.Types.MixedAmountKey
instance Hledger.Data.Types.HasAmounts a => Hledger.Data.Types.HasAmounts [a]
instance (Hledger.Data.Types.HasAmounts a, Hledger.Data.Types.HasAmounts b) => Hledger.Data.Types.HasAmounts (a, b)
instance Hledger.Data.Types.HasAmounts a => Hledger.Data.Types.HasAmounts (GHC.Maybe.Maybe a)
instance GHC.Show.Show Hledger.Data.Types.AmountStyle
instance Text.Blaze.ToMarkup Hledger.Data.Types.Quantity
instance GHC.Show.Show Hledger.Data.Types.AccountType
instance Data.Default.Class.Default Hledger.Data.Types.Interval
instance Data.Default.Class.Default Hledger.Data.Types.Period
instance Data.Default.Class.Default Hledger.Data.Types.DateSpan
instance GHC.Classes.Ord Hledger.Data.Types.EFDay


-- | Manipulate the time periods typically used for reports with Period, a
--   richer abstraction than DateSpan. See also Types and Dates.
module Hledger.Data.Period

-- | Convert Periods to exact DateSpans.
--   
--   <pre>
--   &gt;&gt;&gt; periodAsDateSpan (MonthPeriod 2000 1) == DateSpan (Just $ Flex $ fromGregorian 2000 1 1) (Just $ Flex $ fromGregorian 2000 2 1)
--   True
--   </pre>
periodAsDateSpan :: Period -> DateSpan

-- | Convert DateSpans to Periods.
--   
--   <pre>
--   &gt;&gt;&gt; dateSpanAsPeriod $ DateSpan (Just $ Exact $ fromGregorian 2000 1 1) (Just $ Exact $ fromGregorian 2000 2 1)
--   MonthPeriod 2000 1
--   </pre>
dateSpanAsPeriod :: DateSpan -> Period

-- | Convert PeriodBetweens to a more abstract period where possible.
--   
--   <pre>
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 1 1 1) (fromGregorian 2 1 1)
--   YearPeriod 1
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 10 1) (fromGregorian 2001 1 1)
--   QuarterPeriod 2000 4
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 2 1) (fromGregorian 2000 3 1)
--   MonthPeriod 2000 2
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2016 7 25) (fromGregorian 2016 8 1)
--   WeekPeriod 2016-07-25
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 1 1) (fromGregorian 2000 1 2)
--   DayPeriod 2000-01-01
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 2 28) (fromGregorian 2000 3 1)
--   PeriodBetween 2000-02-28 2000-03-01
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 2 29) (fromGregorian 2000 3 1)
--   DayPeriod 2000-02-29
--   
--   &gt;&gt;&gt; simplifyPeriod $ PeriodBetween (fromGregorian 2000 12 31) (fromGregorian 2001 1 1)
--   DayPeriod 2000-12-31
--   </pre>
simplifyPeriod :: Period -> Period
isLastDayOfMonth :: (Eq a, Eq a, Num a, Num a) => Year -> a -> a -> Bool

-- | Is this period a "standard" period, referencing a particular day,
--   week, month, quarter, or year ? Periods of other durations, or
--   infinite duration, or not starting on a standard period boundary, are
--   not.
isStandardPeriod :: Period -> Bool

-- | The width of a period of this type when displayed.
periodTextWidth :: Period -> Int

-- | Render a period as a compact display string suitable for user output.
--   
--   <pre>
--   &gt;&gt;&gt; showPeriod (WeekPeriod (fromGregorian 2016 7 25))
--   "2016-07-25W30"
--   </pre>
showPeriod :: Period -> Text

-- | Like showPeriod, but if it's a month period show just the 3 letter
--   month name abbreviation for the current locale.
showPeriodMonthAbbrev :: Period -> Text
periodStart :: Period -> Maybe Day
periodEnd :: Period -> Maybe Day

-- | Move a standard period to the following period of same duration.
--   Non-standard periods are unaffected.
periodNext :: Period -> Period

-- | Move a standard period to the preceding period of same duration.
--   Non-standard periods are unaffected.
periodPrevious :: Period -> Period

-- | Move a standard period to the following period of same duration,
--   staying within enclosing dates. Non-standard periods are unaffected.
periodNextIn :: DateSpan -> Period -> Period

-- | Move a standard period to the preceding period of same duration,
--   staying within enclosing dates. Non-standard periods are unaffected.
periodPreviousIn :: DateSpan -> Period -> Period

-- | Move a standard period stepwise so that it encloses the given date.
--   Non-standard periods are unaffected.
periodMoveTo :: Day -> Period -> Period

-- | Enlarge a standard period to the next larger enclosing standard
--   period, if there is one. Eg, a day becomes the enclosing week. A week
--   becomes whichever month the week's thursday falls into. A year becomes
--   all (unlimited). Non-standard periods (arbitrary dates, or open-ended)
--   are unaffected.
periodGrow :: Period -> Period

-- | Shrink a period to the next smaller standard period inside it,
--   choosing the subperiod which contains today's date if possible,
--   otherwise the first subperiod. It goes like this: unbounded periods
--   and nonstandard periods (between two arbitrary dates) -&gt; current
--   year -&gt; current quarter if it's in selected year, otherwise first
--   quarter of selected year -&gt; current month if it's in selected
--   quarter, otherwise first month of selected quarter -&gt; current week
--   if it's in selected month, otherwise first week of selected month
--   -&gt; today if it's in selected week, otherwise first day of selected
--   week, unless that's in previous month, in which case first day of
--   month containing selected week. Shrinking a day has no effect.
periodShrink :: Day -> Period -> Period
mondayBefore :: Day -> Day
yearMonthContainingWeekStarting :: Day -> (Year, MonthOfYear)
quarterContainingMonth :: Integral a => a -> a
firstMonthOfQuarter :: Num a => a -> a
startOfFirstWeekInMonth :: Integer -> Int -> Day


-- | Text.Tabular.AsciiArt from tabular-0.2.2.7, modified to treat wide
--   characters as double width.
module Text.Tabular.AsciiWide

-- | The options to use for rendering a table.
data TableOpts
TableOpts :: Bool -> Bool -> Bool -> TableOpts

-- | Pretty tables
[prettyTable] :: TableOpts -> Bool

-- | Whether to display the outer borders
[tableBorders] :: TableOpts -> Bool

-- | Whether to display spaces around bars
[borderSpaces] :: TableOpts -> Bool

-- | Render a table according to common options, for backwards
--   compatibility
render :: Show a => Bool -> (rh -> Text) -> (ch -> Text) -> (a -> Text) -> Table rh ch a -> Text

-- | Render a table according to various cell specifications&gt;
renderTable :: Show a => TableOpts -> (rh -> Cell) -> (ch -> Cell) -> (a -> Cell) -> Table rh ch a -> Text

-- | A version of renderTable which returns the underlying Builder.
renderTableB :: Show a => TableOpts -> (rh -> Cell) -> (ch -> Cell) -> (a -> Cell) -> Table rh ch a -> Builder

-- | A version of renderTable that operates on rows (including the
--   <a>row</a> of column headers) and returns the underlying Builder.
renderTableByRowsB :: Show a => TableOpts -> ([ch] -> [Cell]) -> ((rh, [a]) -> (Cell, [Cell])) -> Table rh ch a -> Builder

-- | Render a single row according to cell specifications.
renderRow :: TableOpts -> Header Cell -> Text

-- | A version of renderRow which returns the underlying Builder.
renderRowB :: TableOpts -> Header Cell -> Builder

-- | We stop rendering on the shortest list!
renderColumns :: TableOpts -> [Int] -> Header Cell -> Builder

-- | Cell contents along an alignment
data Cell
Cell :: Align -> [WideBuilder] -> Cell

-- | How to align text in a cell
data Align
TopRight :: Align
BottomRight :: Align
BottomLeft :: Align
TopLeft :: Align
emptyCell :: Cell

-- | Create a single-line cell from the given contents with its natural
--   width.
textCell :: Align -> Text -> Cell

-- | Create a multi-line cell from the given contents with its natural
--   width.
textsCell :: Align -> [Text] -> Cell

-- | Return the width of a Cell.
cellWidth :: Cell -> Int

-- | Add the second table below the first, discarding its column headings.
concatTables :: Properties -> Table rh ch a -> Table rh ch2 a -> Table rh ch a
instance GHC.Show.Show Text.Tabular.AsciiWide.TableOpts
instance GHC.Show.Show Text.Tabular.AsciiWide.Align
instance Data.Default.Class.Default Text.Tabular.AsciiWide.TableOpts


-- | Text formatting helpers, ported from String as needed. There may be
--   better alternatives out there.
module Hledger.Utils.Text
textCapitalise :: Text -> Text

-- | Remove all matching pairs of square brackets and parentheses from the
--   text.
textUnbracket :: Text -> Text

-- | Wrap a Text with the surrounding Text.
wrap :: Text -> Text -> Text -> Text

-- | Remove trailing newlines/carriage returns.
textChomp :: Text -> Text

-- | Wrap a string in double quotes, and -prefix any embedded single
--   quotes, if it contains whitespace and is not already single- or
--   double-quoted.
quoteIfSpaced :: Text -> Text
textQuoteIfNeeded :: Text -> Text
escapeDoubleQuotes :: Text -> Text
escapeBackslash :: Text -> Text

-- | Strip one matching pair of single or double quotes on the ends of a
--   string.
stripquotes :: Text -> Text
textElideRight :: Int -> Text -> Text

-- | Clip and pad a string to a minimum &amp; maximum width, and<i>or
--   left</i>right justify it. Works on multi-line strings too (but will
--   rewrite non-unix line endings).
formatText :: Bool -> Maybe Int -> Maybe Int -> Text -> Text

-- | Join several multi-line strings as side-by-side rectangular strings of
--   the same height, top-padded. Treats wide characters as double width.
textConcatTopPadded :: [Text] -> Text

-- | Join several multi-line strings as side-by-side rectangular strings of
--   the same height, bottom-padded. Treats wide characters as double
--   width.
textConcatBottomPadded :: [Text] -> Text

-- | General-purpose wide-char-aware single-line text layout function. It
--   can left- or right-pad a short string to a minimum width. It can left-
--   or right-clip a long string to a maximum width, optionally inserting
--   an ellipsis (the third argument). It clips and pads on the right when
--   the fourth argument is true, otherwise on the left. It treats wide
--   characters as double width.
fitText :: Maybe Int -> Maybe Int -> Bool -> Bool -> Text -> Text

-- | Add a prefix to each line of a string.
linesPrepend :: Text -> Text -> Text

-- | Add a prefix to the first line of a string, and a different prefix to
--   the remaining lines.
linesPrepend2 :: Text -> Text -> Text -> Text

-- | Join a list of Text Builders with a newline after each item.
unlinesB :: [Builder] -> Builder

-- | Helper for constructing Builders while keeping track of text width.
data WideBuilder
WideBuilder :: !Builder -> !Int -> WideBuilder
[wbBuilder] :: WideBuilder -> !Builder
[wbWidth] :: WideBuilder -> !Int

-- | Convert a WideBuilder to a strict Text.
wbToText :: WideBuilder -> Text

-- | Convert a strict Text to a WideBuilder.
wbFromText :: Text -> WideBuilder

-- | Convert a WideBuilder to a String.
wbUnpack :: WideBuilder -> String

-- | Double-width-character-aware string truncation. Take as many
--   characters as possible from a string without exceeding the specified
--   width. Eg textTakeWidth 3 "りんご" = "り".
textTakeWidth :: Int -> Text -> Text

-- | Read a decimal number from a Text. Assumes the input consists only of
--   digit characters.
readDecimal :: Text -> Integer
tests_Text :: TestTree


-- | Helpers for pretty-printing haskell values, reading command line
--   arguments, working with ANSI colours, files, and time. Uses
--   unsafePerformIO.
--   
--   Limitations: When running in GHCI, this module must be reloaded to see
--   environmental changes. The colour scheme may be somewhat hard-coded.
module Hledger.Utils.IO

-- | Pretty show. An easier alias for pretty-simple's pShow. This will
--   probably show in colour if useColorOnStderr is true.
pshow :: Show a => a -> String

-- | Monochrome version of pshow. This will never show in colour.
pshow' :: Show a => a -> String

-- | Pretty print a showable value. An easier alias for pretty-simple's
--   pPrint. This will print in colour if useColorOnStderr is true.
pprint :: Show a => a -> IO ()

-- | Monochrome version of pprint. This will never print in colour.
pprint' :: Show a => a -> IO ()

-- | Display the given text on the terminal, using the user's $PAGER if the
--   text is taller than the current terminal and stdout is interactive and
--   TERM is not "dumb" (except on Windows, where a pager will not be
--   used). If the text contains ANSI codes, because hledger thinks the
--   current terminal supports those, the pager should be configured to
--   display those, otherwise users will see junk on screen (#2015). We
--   call "setLessR" at hledger startup to make that less likely.
pager :: String -> IO ()

-- | Make sure our $LESS and $MORE environment variables contain R, to help
--   ensure the common pager <tt>less</tt> will show our ANSI output
--   properly. less uses $LESS by default, and $MORE when it is invoked as
--   <tt>more</tt>. What the original <tt>more</tt> program does, I'm not
--   sure. If $PAGER is configured to something else, this probably will
--   have no effect.
setupPager :: IO ()

-- | An alternative to ansi-terminal's getTerminalSize, based on the more
--   robust-looking terminal-size package. Tries to get stdout's terminal's
--   current height and width.
getTerminalHeightWidth :: IO (Maybe (Int, Int))
getTerminalHeight :: IO (Maybe Int)
getTerminalWidth :: IO (Maybe Int)

-- | The command line arguments that were used at program startup. Uses
--   unsafePerformIO.
progArgs :: [String]

-- | Read the value of the -o/--output-file command line option provided at
--   program startup, if any, using unsafePerformIO.
outputFileOption :: Maybe String

-- | Check whether the -o/--output-file option has been used at program
--   startup with an argument other than "-", using unsafePerformIO.
hasOutputFile :: Bool

-- | Read the value of the --color or --colour command line option provided
--   at program startup using unsafePerformIO. If this option was not
--   provided, returns the empty string.
colorOption :: String

-- | Check the IO environment to see if ANSI colour codes should be used on
--   stdout. This is done using unsafePerformIO so it can be used anywhere,
--   eg in low-level debug utilities, which should be ok since we are just
--   reading. The logic is: use color if the program was started with
--   --color=yes|always or ( the program was not started with
--   --color=no|never and a NO_COLOR environment variable is not defined
--   and stdout supports ANSI color and -o/--output-file was not used, or
--   its value is "-" ).
useColorOnStdout :: Bool

-- | Like useColorOnStdout, but checks for ANSI color support on stderr,
--   and is not affected by -o/--output-file.
useColorOnStderr :: Bool

-- | Wrap a string in ANSI codes to set and reset foreground colour.
--   ColorIntensity is <tt>Dull</tt> or <tt>Vivid</tt> (ie normal and
--   bold). Color is one of <tt>Black</tt>, <tt>Red</tt>, <tt>Green</tt>,
--   <tt>Yellow</tt>, <tt>Blue</tt>, <tt>Magenta</tt>, <tt>Cyan</tt>,
--   <tt>White</tt>. Eg: <tt>color Dull Red "text"</tt>.
color :: ColorIntensity -> Color -> String -> String

-- | Wrap a string in ANSI codes to set and reset background colour.
bgColor :: ColorIntensity -> Color -> String -> String

-- | Wrap a WideBuilder in ANSI codes to set and reset foreground colour.
colorB :: ColorIntensity -> Color -> WideBuilder -> WideBuilder

-- | Wrap a WideBuilder in ANSI codes to set and reset background colour.
bgColorB :: ColorIntensity -> Color -> WideBuilder -> WideBuilder

-- | Versions of some of text-ansi's string colors/styles which are more
--   careful to not print junk onscreen. These use our useColorOnStdout.
bold' :: String -> String
faint' :: String -> String
black' :: String -> String
red' :: String -> String
green' :: String -> String
yellow' :: String -> String
blue' :: String -> String
magenta' :: String -> String
cyan' :: String -> String
white' :: String -> String
brightBlack' :: String -> String
brightRed' :: String -> String
brightGreen' :: String -> String
brightYellow' :: String -> String
brightBlue' :: String -> String
brightMagenta' :: String -> String
brightCyan' :: String -> String
brightWhite' :: String -> String
rgb' :: Word8 -> Word8 -> Word8 -> String -> String

-- | Detect whether the terminal currently has a light background colour,
--   if possible, using unsafePerformIO. If the terminal is transparent,
--   its apparent light/darkness may be different.
terminalIsLight :: Maybe Bool

-- | Detect the terminal's current background lightness (0..1), if
--   possible, using unsafePerformIO. If the terminal is transparent, its
--   apparent lightness may be different.
terminalLightness :: Maybe Float

-- | Detect the terminal's current foreground colour, if possible, using
--   unsafePerformIO.
terminalFgColor :: Maybe (RGB Float)

-- | Detect the terminal's current background colour, if possible, using
--   unsafePerformIO.
terminalBgColor :: Maybe (RGB Float)

-- | Simpler alias for errorWithoutStackTrace
error' :: String -> a

-- | A version of errorWithoutStackTrace that adds a usage hint.
usageError :: String -> a

-- | Like embedFile, but takes a path relative to the package directory.
embedFileRelative :: FilePath -> Q Exp

-- | Expand a tilde (representing home directory) at the start of a file
--   path. ~username is not supported. Can raise an error.
expandHomePath :: FilePath -> IO FilePath

-- | Given a current directory, convert a possibly relative, possibly
--   tilde-containing file path to an absolute one. ~username is not
--   supported. Leaves "-" unchanged. Can raise an error.
expandPath :: FilePath -> FilePath -> IO FilePath

-- | Like expandPath, but treats the expanded path as a glob, and returns
--   zero or more matched absolute file paths, alphabetically sorted.
expandGlob :: FilePath -> FilePath -> IO [FilePath]

-- | Given a list of existing file paths, sort them by modification time,
--   most recent first.
sortByModTime :: [FilePath] -> IO [FilePath]

-- | Like readFilePortably, but read from standard input if the path is
--   "-".
readFileOrStdinPortably :: String -> IO Text

-- | Like readFilePortably, but read all of the file before proceeding.
readFileStrictly :: FilePath -> IO Text

-- | Read text from a file, converting any rn line endings to n,, using the
--   system locale's text encoding, ignoring any utf8 BOM prefix (as seen
--   in paypal's 2018 CSV, eg) if that encoding is utf8.
readFilePortably :: FilePath -> IO Text
readHandlePortably :: Handle -> IO Text
getCurrentLocalTime :: IO LocalTime
getCurrentZonedTime :: IO ZonedTime

module Hledger.Utils.Test
data () => DependencyType
AllSucceed :: DependencyType
AllFinish :: DependencyType
type TestName = String
data () => TestTree
data () => Timeout
Timeout :: Integer -> String -> Timeout
NoTimeout :: Timeout
testGroup :: TestName -> [TestTree] -> TestTree
after :: DependencyType -> String -> TestTree -> TestTree
defaultMainWithIngredients :: [Ingredient] -> TestTree -> IO ()
after_ :: DependencyType -> Expr -> TestTree -> TestTree
includingOptions :: [OptionDescription] -> Ingredient
mkTimeout :: Integer -> Timeout
adjustOption :: IsOption v => (v -> v) -> TestTree -> TestTree
askOption :: IsOption v => (v -> TestTree) -> TestTree
defaultIngredients :: [Ingredient]
localOption :: IsOption v => v -> TestTree -> TestTree
withResource :: IO a -> (a -> IO ()) -> (IO a -> TestTree) -> TestTree

-- | Assert any Left value.
assertLeft :: (HasCallStack, Eq b, Show b) => Either a b -> Assertion

-- | Assert any Right value.
assertRight :: (HasCallStack, Eq a, Show a) => Either a b -> Assertion

-- | Assert that this stateful parser runnable in IO successfully parses
--   all of the given input text, showing the parse error if it fails.
--   Suitable for hledger's JournalParser parsers.
assertParse :: (HasCallStack, Default st) => StateT st (ParsecT HledgerParseErrorData Text IO) a -> Text -> Assertion

-- | Assert a parser produces an expected value.
assertParseEq :: (HasCallStack, Eq a, Show a, Default st) => StateT st (ParsecT HledgerParseErrorData Text IO) a -> Text -> a -> Assertion

-- | Like assertParseEq, but transform the parse result with the given
--   function before comparing it.
assertParseEqOn :: (HasCallStack, Eq b, Show b, Default st) => StateT st (ParsecT HledgerParseErrorData Text IO) a -> Text -> (a -> b) -> b -> Assertion

-- | Assert that this stateful parser runnable in IO fails to parse the
--   given input text, with a parse error containing the given string.
assertParseError :: (HasCallStack, Eq a, Show a, Default st) => StateT st (ParsecT HledgerParseErrorData Text IO) a -> Text -> String -> Assertion
assertParseE :: (HasCallStack, Eq a, Show a, Default st) => StateT st (ParsecT HledgerParseErrorData Text (ExceptT FinalParseError IO)) a -> Text -> Assertion
assertParseEqE :: (Default st, Eq a, Show a, HasCallStack) => StateT st (ParsecT HledgerParseErrorData Text (ExceptT FinalParseError IO)) a -> Text -> a -> Assertion
assertParseErrorE :: (Default st, Eq a, Show a, HasCallStack) => StateT st (ParsecT HledgerParseErrorData Text (ExceptT FinalParseError IO)) a -> Text -> String -> Assertion

-- | Run a stateful parser in IO like assertParse, then assert that the
--   final state (the wrapped state, not megaparsec's internal state),
--   transformed by the given function, matches the given expected value.
assertParseStateOn :: (HasCallStack, Eq b, Show b, Default st) => StateT st (ParsecT HledgerParseErrorData Text IO) a -> Text -> (st -> b) -> b -> Assertion


-- | Here are fancier versions of Debug.Trace, with these features:
--   
--   <ul>
--   <li>unsafePerformIO-based for easy usage in pure code, IO code, and
--   program startup code</li>
--   <li>reasonably short and memorable function names</li>
--   <li>pretty-printing haskell values, with or without colour, using
--   pretty-simple</li>
--   <li>enabling/disabling debug output with --debug</li>
--   <li>multiple debug verbosity levels, from 1 to 9</li>
--   <li>sending debug output to stderr or to a log file</li>
--   <li>enabling logging based on program name</li>
--   </ul>
--   
--   The basic "trace" functions print to stderr. This debug output will be
--   interleaved with the program's normal output, which can be useful for
--   understanding when code executes.
--   
--   The <a>Log</a> functions log to a file instead. The need for these is
--   arguable, since a technically savvy user can redirect stderr output to
--   a log file, eg: <tt>CMD 2&gt;debug.log</tt>. But here is how they
--   currently work:
--   
--   The "traceLog" functions log to the program's debug log file, which is
--   <tt>PROGNAME.log</tt> in the current directory, where PROGNAME is the
--   program name returned by <tt>getProgName</tt>. When using this logging
--   feature you should call <tt>withProgName</tt> explicitly at the start
--   of your program to ensure a stable program name, otherwise it can
--   change to "<a>interactive</a>" eg when running in GHCI. Eg: <tt>main =
--   withProgName <a>MYPROG</a> $ do ...</tt>.
--   
--   The <a>OrLog</a> functions can either print to stderr or log to a
--   file.
--   
--   <ul>
--   <li>By default, they print to stderr.</li>
--   <li>If the program name has been set (with @withProgName) to something
--   ending with ".log", they log to that file instead. This can be useful
--   for programs which should never print to stderr, eg TUI programs like
--   hledger-ui.</li>
--   </ul>
--   
--   The <a>At</a> functions produce output only when the program was run
--   with a sufficiently high debug level, as set by a <tt>--debug[=N]</tt>
--   command line option. N ranges from 1 (least debug output) to 9 (most
--   debug output), <tt>--debug</tt> with no argument means 1.
--   
--   The "dbgN*" functions are intended to be the most convenient API, to
--   be embedded at points of interest in your code. They combine the
--   conditional output of <a>At</a>, the conditional logging of
--   <a>OrLog</a>, pretty printing, and short searchable function names.
--   
--   Parsing the command line, detecting program name, and file logging is
--   done with unsafePerformIO. If you are working in GHCI, changing the
--   debug level requires editing and reloading this file (sometimes it's
--   more convenient to add a dbg0 temporarily).
--   
--   In hledger, debug levels are used as follows:
--   
--   <pre>
--   Debug level:  What to show:
--   ------------  ---------------------------------------------------------
--   0             normal command output only (no warnings, eg)
--   1             useful warnings, most common troubleshooting info, eg valuation
--   2             common troubleshooting info, more detail
--   3             report options selection
--   4             report generation
--   5             report generation, more detail
--   6             input file reading
--   7             input file reading, more detail
--   8             command line parsing
--   9             any other rarely needed / more in-depth info
--   </pre>
--   
--   We don't yet have the ability to select debug output by topic. For
--   now, here are some standardish topic strings to search for in hledger
--   debug messages:
--   
--   acct arg budget calc csv journalFinalise multiBalanceReport opts
--   precision price q style val
module Hledger.Utils.Debug

-- | The programs debug output verbosity. The default is 0 meaning no debug
--   output. The <tt>--debug</tt> command line flag sets it to 1, or
--   <tt>--debug=N</tt> sets it to a higher value (the = is required). Uses
--   unsafePerformIO. When running in GHCI, changing this requires
--   reloading this module.
debugLevel :: Int

-- | Trace a value with the given show function before returning it.
traceWith :: (a -> String) -> a -> a

-- | Trace (print to stderr) a string if the global debug level is at or
--   above the specified level. At level 0, always prints. Otherwise, uses
--   unsafePerformIO.
traceAt :: Int -> String -> a -> a

-- | Trace (print to stderr) a showable value using a custom show function,
--   if the global debug level is at or above the specified level. At level
--   0, always prints. Otherwise, uses unsafePerformIO.
traceAtWith :: Int -> (a -> String) -> a -> a

-- | Pretty-trace a showable value before returning it. Like
--   Debug.Trace.traceShowId, but pretty-printing and easier to type.
ptrace :: Show a => a -> a

-- | Pretty-print a label and a showable value to the console if the global
--   debug level is at or above the specified level. At level 0, always
--   prints. Otherwise, uses unsafePerformIO.
ptraceAt :: Show a => Int -> String -> a -> a

-- | Like ptraceAt, but convenient to insert in an IO monad and enforces
--   monadic sequencing.
ptraceAtIO :: (MonadIO m, Show a) => Int -> String -> a -> m ()

-- | Log a string to the debug log before returning the second argument.
--   Uses unsafePerformIO.
traceLog :: String -> a -> a

-- | Log a string to the debug log before returning the second argument, if
--   the global debug level is at or above the specified level. At level 0,
--   always logs. Otherwise, uses unsafePerformIO.
traceLogAt :: Int -> String -> a -> a

-- | Like traceLog but sequences properly in IO.
traceLogIO :: MonadIO m => String -> m ()

-- | Like traceLogAt, but convenient to use in IO.
traceLogAtIO :: MonadIO m => Int -> String -> m ()

-- | Log a value to the debug log with the given show function before
--   returning it.
traceLogWith :: (a -> String) -> a -> a

-- | Log a string to the debug log before returning the second argument, if
--   the global debug level is at or above the specified level. At level 0,
--   always logs. Otherwise, uses unsafePerformIO.
traceLogAtWith :: Int -> (a -> String) -> a -> a

-- | Pretty-log a label and showable value to the debug log, if the global
--   debug level is at or above the specified level. At level 0, always
--   prints. Otherwise, uses unsafePerformIO.
ptraceLogAt :: Show a => Int -> String -> a -> a

-- | Like ptraceAt, but convenient to insert in an IO monad and enforces
--   monadic sequencing.
ptraceLogAtIO :: (MonadIO m, Show a) => Int -> String -> a -> m ()

-- | Trace or log a string depending on shouldLog, before returning the
--   second argument.
traceOrLog :: String -> a -> a

-- | Trace or log a string depending on shouldLog, when global debug level
--   is at or above the specified level, before returning the second
--   argument.
traceOrLogAt :: Int -> String -> a -> a

-- | Pretty-trace or log depending on shouldLog, when global debug level is
--   at or above the specified level.
ptraceOrLogAt :: Show a => Int -> String -> a -> a

-- | Like ptraceOrLogAt, but convenient in IO.
ptraceOrLogAtIO :: (MonadIO m, Show a) => Int -> String -> a -> m ()

-- | Trace or log, with a show function, depending on shouldLog.
traceOrLogAtWith :: Int -> (a -> String) -> a -> a

-- | Pretty-trace to stderr (or log to debug log) a label and showable
--   value, then return it.
dbg0 :: Show a => String -> a -> a

-- | Pretty-trace to stderr (or log to debug log) a label and showable
--   value if the --debug level is high enough, then return the value. Uses
--   unsafePerformIO.
dbg1 :: Show a => String -> a -> a
dbg2 :: Show a => String -> a -> a
dbg3 :: Show a => String -> a -> a
dbg4 :: Show a => String -> a -> a
dbg5 :: Show a => String -> a -> a
dbg6 :: Show a => String -> a -> a
dbg7 :: Show a => String -> a -> a
dbg8 :: Show a => String -> a -> a
dbg9 :: Show a => String -> a -> a

-- | Like dbg0, but also exit the program. Uses unsafePerformIO.
dbgExit :: Show a => String -> a -> a

-- | Like dbgN, but convenient to use in IO.
dbg0IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg1IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg2IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg3IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg4IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg5IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg6IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg7IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg8IO :: (MonadIO m, Show a) => String -> a -> m ()
dbg9IO :: (MonadIO m, Show a) => String -> a -> m ()

-- | Like dbgN, but taking a show function instead of a label.
dbg0With :: (a -> String) -> a -> a
dbg1With :: Show a => (a -> String) -> a -> a
dbg2With :: Show a => (a -> String) -> a -> a
dbg3With :: Show a => (a -> String) -> a -> a
dbg4With :: Show a => (a -> String) -> a -> a
dbg5With :: Show a => (a -> String) -> a -> a
dbg6With :: Show a => (a -> String) -> a -> a
dbg7With :: Show a => (a -> String) -> a -> a
dbg8With :: Show a => (a -> String) -> a -> a
dbg9With :: Show a => (a -> String) -> a -> a

-- | Helper for producing debug messages: concatenates a name (eg a
--   function name), short description of the value being logged, and
--   string representation of the value.
lbl_ :: String -> String -> String -> String
trace :: String -> a -> a
traceIO :: String -> IO ()
traceShowId :: Show a => a -> a

module Hledger.Utils.Parse

-- | A parser of string to some type.
type SimpleStringParser a = Parsec HledgerParseErrorData String a

-- | A parser of strict text to some type.
type SimpleTextParser = Parsec HledgerParseErrorData Text

-- | A parser of text that runs in some monad.
type TextParser m a = ParsecT HledgerParseErrorData Text m a
data () => SourcePos
SourcePos :: FilePath -> !Pos -> !Pos -> SourcePos
[sourceName] :: SourcePos -> FilePath
[sourceLine] :: SourcePos -> !Pos
[sourceColumn] :: SourcePos -> !Pos
mkPos :: Int -> Pos
unPos :: Pos -> Int
initialPos :: FilePath -> SourcePos
sourcePosPretty :: SourcePos -> String

-- | Render a pair of source positions in human-readable form, only
--   displaying the range of lines.
sourcePosPairPretty :: (SourcePos, SourcePos) -> String

-- | Backtracking choice, use this when alternatives share a prefix.
--   Consumes no input if all choices fail.
choice' :: [TextParser m a] -> TextParser m a

-- | Backtracking choice, use this when alternatives share a prefix.
--   Consumes no input if all choices fail.
choiceInState :: [StateT s (ParsecT HledgerParseErrorData Text m) a] -> StateT s (ParsecT HledgerParseErrorData Text m) a
surroundedBy :: Applicative m => m openclose -> m a -> m a
parsewith :: Parsec e Text a -> Text -> Either (ParseErrorBundle Text e) a

-- | Run a text parser in the identity monad. See also: parseWithState.
runTextParser :: TextParser Identity a -> Text -> Either HledgerParseErrors a

-- | Run a text parser in the identity monad. See also: parseWithState.
rtp :: TextParser Identity a -> Text -> Either HledgerParseErrors a
parsewithString :: Parsec e String a -> String -> Either (ParseErrorBundle String e) a

-- | Run a stateful parser with some initial state on a text. See also:
--   runTextParser, runJournalParser.
parseWithState :: Monad m => st -> StateT st (ParsecT HledgerParseErrorData Text m) a -> Text -> m (Either HledgerParseErrors a)
parseWithState' :: Stream s => st -> StateT st (ParsecT e s Identity) a -> s -> Either (ParseErrorBundle s e) a
fromparse :: (Show t, Show (Token t), Show e) => Either (ParseErrorBundle t e) a -> a
parseerror :: (Show t, Show (Token t), Show e) => ParseErrorBundle t e -> a
showDateParseError :: (Show t, Show (Token t), Show e) => ParseErrorBundle t e -> String
nonspace :: TextParser m Char
isNewline :: Char -> Bool
isNonNewlineSpace :: Char -> Bool
restofline :: TextParser m String
eolof :: TextParser m ()
spacenonewline :: (Stream s, Char ~ Token s) => ParsecT HledgerParseErrorData s m Char
skipNonNewlineSpaces :: (Stream s, Token s ~ Char) => ParsecT HledgerParseErrorData s m ()
skipNonNewlineSpaces1 :: (Stream s, Token s ~ Char) => ParsecT HledgerParseErrorData s m ()
skipNonNewlineSpaces' :: (Stream s, Token s ~ Char) => ParsecT HledgerParseErrorData s m Bool

-- | Trace to stderr or log to debug log the provided label (if non-null)
--   and current parser state (position and next input), if the global
--   debug level is at or above the specified level. Uses unsafePerformIO.
dbgparse :: Int -> String -> TextParser m ()

-- | Trace to stderr or log to debug log the provided label (if non-null)
--   and current parser state (position and next input). See also:
--   Hledger.Utils.Debug, megaparsec's dbg. Uses unsafePerformIO. XXX Can
--   be hard to make this evaluate.
traceOrLogParse :: String -> TextParser m ()

-- | A specialised version of ParseErrorBundle: a non-empty collection of
--   hledger parse errors, equipped with PosState to help pretty-print
--   them. Specialised for a <a>Text</a> parse stream.
type HledgerParseErrors = ParseErrorBundle Text HledgerParseErrorData

-- | Custom error data for hledger parsers. Specialised for a <a>Text</a>
--   parse stream. ReparseableTextParseErrorData ?
data HledgerParseErrorData

-- | Pretty-print our custom parse errors. It is necessary to use this
--   instead of <a>errorBundlePretty</a> when custom parse errors are
--   thrown.
--   
--   This function intercepts our custom parse errors and applies final
--   adjustments (<tt>finalizeCustomError</tt>) before passing them to
--   <a>errorBundlePretty</a>. These adjustments are part of the
--   implementation of the behaviour of our custom parse errors.
--   
--   Note: We must ensure that the offset of the <a>PosState</a> of the
--   provided <a>ParseErrorBundle</a> is no larger than the offset
--   specified by a <a>ErrorFailAt</a> constructor. This is guaranteed if
--   this offset is set to 0 (that is, the beginning of the source file),
--   which is the case for <a>ParseErrorBundle</a>s returned from
--   <a>runParserT</a>.
customErrorBundlePretty :: HledgerParseErrors -> String


-- | String formatting helpers, starting to get a bit out of control.
module Hledger.Utils.String

-- | Take elements from the end of a list.
takeEnd :: Int -> [a] -> [a]
capitalise :: String -> String
lowercase :: String -> String
uppercase :: String -> String
underline :: String -> String
stripbrackets :: String -> String

-- | Double-quote this string if it contains whitespace, single quotes or
--   double-quotes, escaping the quotes as needed.
quoteIfNeeded :: String -> String

-- | Single-quote this string if it contains whitespace or double-quotes.
--   Does not work for strings containing single quotes.
singleQuoteIfNeeded :: String -> String

-- | Try to single- and backslash-quote a string as needed to make it
--   usable as an argument on a (sh/bash) shell command line. At least,
--   well enough to handle common currency symbols, like $. Probably broken
--   in many ways.
--   
--   <pre>
--   &gt;&gt;&gt; quoteForCommandLine "a"
--   "a"
--   
--   &gt;&gt;&gt; quoteForCommandLine "\""
--   "'\"'"
--   
--   &gt;&gt;&gt; quoteForCommandLine "$"
--   "'\\$'"
--   </pre>
quoteForCommandLine :: String -> String

-- | Quote-aware version of words - don't split on spaces which are inside
--   quotes. NB correctly handles "a'b" but not "'<tt>a'</tt>". Can raise
--   an error if parsing fails.
words' :: String -> [String]

-- | Quote-aware version of unwords - single-quote strings which contain
--   whitespace
unwords' :: [String] -> String

-- | Strip ANSI escape sequences from a string.
--   
--   <pre>
--   &gt;&gt;&gt; stripAnsi "\ESC[31m-1\ESC[m"
--   "-1"
--   </pre>
stripAnsi :: String -> String

-- | Remove leading and trailing whitespace.
strip :: String -> String

-- | Remove leading whitespace.
lstrip :: String -> String

-- | Remove trailing whitespace.
rstrip :: String -> String

-- | Strip the given starting and ending character from the start and end
--   of a string if both are present.
strip1Char :: Char -> Char -> String -> String

-- | Strip a run of zero or more characters matching the predicate from the
--   start and end of a string.
stripBy :: (Char -> Bool) -> String -> String

-- | Strip a single balanced enclosing pair of a character matching the
--   predicate from the start and end of a string.
strip1By :: (Char -> Bool) -> String -> String

-- | Remove all trailing newlines/carriage returns.
chomp :: String -> String

-- | Remove all trailing newline/carriage returns, leaving just one
--   trailing newline.
chomp1 :: String -> String

-- | Remove consecutive line breaks, replacing them with single space
singleline :: String -> String
elideLeft :: Int -> String -> String
elideRight :: Int -> String -> String

-- | Clip and pad a string to a minimum &amp; maximum width, and<i>or
--   left</i>right justify it. Works on multi-line strings too (but will
--   rewrite non-unix line endings).
formatString :: Bool -> Maybe Int -> Maybe Int -> String -> String
charWidth :: Char -> Int

-- | Alias for <a>realLength</a>.
strWidth :: String -> Int

-- | Like strWidth, but also strips ANSI escape sequences before
--   calculating the width.
--   
--   This is no longer used in code, as widths are calculated before adding
--   ANSI escape sequences, but is being kept around for now.
strWidthAnsi :: String -> Int

-- | Double-width-character-aware string truncation. Take as many
--   characters as possible from a string without exceeding the specified
--   width. Eg takeWidth 3 "りんご" = "り".
takeWidth :: Int -> String -> String


-- | Utilities used throughout hledger, or needed low in the module
--   hierarchy. These are the bottom of hledger's module graph.
module Hledger.Utils

-- | Apply a function the specified number of times, which should be &gt; 0
--   (otherwise does nothing). Possibly uses O(n) stack ?
applyN :: Int -> (a -> a) -> a -> a

-- | Like mapM but uses sequence'.
mapM' :: Monad f => (a -> f b) -> [a] -> f [b]

-- | This is a version of sequence based on difference lists. It is
--   slightly faster but we mostly use it because it uses the heap instead
--   of the stack. This has the advantage that Neil Mitchell’s trick of
--   limiting the stack size to discover space leaks doesn’t show this as a
--   false positive.
sequence' :: Monad f => [f a] -> f [a]
curry2 :: ((a, b) -> c) -> a -> b -> c
uncurry2 :: (a -> b -> c) -> (a, b) -> c
curry3 :: ((a, b, c) -> d) -> a -> b -> c -> d
uncurry3 :: (a -> b -> c -> d) -> (a, b, c) -> d
curry4 :: ((a, b, c, d) -> e) -> a -> b -> c -> d -> e
uncurry4 :: (a -> b -> c -> d -> e) -> (a, b, c, d) -> e

-- | Total version of maximum, for integral types, giving 0 for an empty
--   list.
maximum' :: Integral a => [a] -> a

-- | Strict version of maximum that doesn’t leak space
maximumStrict :: Ord a => [a] -> a

-- | Strict version of minimum that doesn’t leak space
minimumStrict :: Ord a => [a] -> a
splitAtElement :: Eq a => a -> [a] -> [[a]]

-- | Strict version of sum that doesn’t leak space
sumStrict :: Num a => [a] -> a

-- | Get the leaves of this tree as a list. The topmost node ("root" in
--   hledger account trees) is not counted as a leaf.
treeLeaves :: Tree a -> [a]
first3 :: (a, b, c) -> a
second3 :: (a, b, c) -> b
third3 :: (a, b, c) -> c
first4 :: (a, b, c, d) -> a
second4 :: (a, b, c, d) -> b
third4 :: (a, b, c, d) -> c
fourth4 :: (a, b, c, d) -> d
first5 :: (a, b, c, d, e) -> a
second5 :: (a, b, c, d, e) -> b
third5 :: (a, b, c, d, e) -> c
fourth5 :: (a, b, c, d, e) -> d
fifth5 :: (a, b, c, d, e) -> e
first6 :: (a, b, c, d, e, f) -> a
second6 :: (a, b, c, d, e, f) -> b
third6 :: (a, b, c, d, e, f) -> c
fourth6 :: (a, b, c, d, e, f) -> d
fifth6 :: (a, b, c, d, e, f) -> e
sixth6 :: (a, b, c, d, e, f) -> f

-- | Convert a list of strings to a multi-line multi-column list fitting
--   within the given width. Not wide character aware.
multicol :: Int -> [String] -> String

-- | Find the number of digits of an <a>Int</a>.
numDigitsInt :: Integral a => Int -> a

-- | Find the number of digits of an Integer. The integer should not have
--   more digits than an Int can count. This is probably inefficient.
numDigitsInteger :: Integer -> Int

-- | Make classy lenses for Hledger options fields. This is intended to be
--   used with BalancingOpts, InputOpt, ReportOpts, ReportSpec, and
--   CliOpts. When run on X, it will create a typeclass named HasX (except
--   for ReportOpts, which will be named HasReportOptsNoUpdate) containing
--   all the lenses for that type. If the field name starts with an
--   underscore, the lens name will be created by stripping the underscore
--   from the front on the name. If the field name ends with an underscore,
--   the field name ends with an underscore, the lens name will be mostly
--   created by stripping the underscore, but a few names for which this
--   would create too many conflicts instead have a second underscore
--   appended. ReportOpts fields for which updating them requires updating
--   the query in ReportSpec are instead names by dropping the trailing
--   underscore and appending NoUpdate to the name, e.g. querystring_ -&gt;
--   querystringNoUpdate.
--   
--   There are a few reasons for the complicated rules. - We have some
--   legacy field names ending in an underscore (e.g. value_) which we want
--   to temporarily accommodate, before eventually switching to a more
--   modern style (e.g. _rsReportOpts) - Certain fields in ReportOpts need
--   to update the enclosing ReportSpec when they are updated, and it is a
--   common programming error to forget to do this. We append NoUpdate to
--   those lenses which will not update the enclosing field, and reserve
--   the shorter name for manually define lenses (or at least something
--   lens-like) which will update the ReportSpec. cf. the lengthy
--   discussion here and in surrounding comments:
--   <a>https://github.com/simonmichael/hledger/pull/1545#issuecomment-881974554</a>
makeHledgerClassyLenses :: Name -> DecsQ
tests_Utils :: TestTree


-- | CSV utilities.
module Hledger.Read.CsvUtils
type CSV = [CsvRecord]
type CsvRecord = [CsvValue]
type CsvValue = Text
printCSV :: [CsvRecord] -> Text
printTSV :: [CsvRecord] -> Text
tests_CsvUtils :: TestTree


-- | hledger's cmdargs modes parse command-line arguments to an
--   intermediate format, RawOpts (an association list), rather than a
--   fixed ADT like CliOpts. This allows the modes and flags to be reused
--   more easily by hledger commands/scripts in this and other packages.
module Hledger.Data.RawOptions

-- | The result of running cmdargs: an association list of option names to
--   string values.
data RawOpts
mkRawOpts :: [(String, String)] -> RawOpts
overRawOpts :: ([(String, String)] -> [(String, String)]) -> RawOpts -> RawOpts
setopt :: String -> String -> RawOpts -> RawOpts
setboolopt :: String -> RawOpts -> RawOpts
unsetboolopt :: String -> RawOpts -> RawOpts
appendopts :: [(String, String)] -> RawOpts -> RawOpts

-- | Is the named flag present ?
boolopt :: String -> RawOpts -> Bool

-- | Like boolopt, except if the flag is repeated on the command line it
--   toggles the value. An even number of repetitions is equivalent to
--   none.
toggleopt :: String -> RawOpts -> Bool

-- | From a list of RawOpts, get the last one (ie the right-most on the
--   command line) for which the given predicate returns a Just value.
--   Useful for exclusive choice flags like --daily|--weekly|--quarterly...
--   
--   <pre>
--   &gt;&gt;&gt; import Safe (readMay)
--   
--   &gt;&gt;&gt; choiceopt Just (RawOpts [("a",""), ("b",""), ("c","")])
--   Just "c"
--   
--   &gt;&gt;&gt; choiceopt (const Nothing) (RawOpts [("a","")])
--   Nothing
--   
--   &gt;&gt;&gt; choiceopt readMay (RawOpts [("LT",""),("EQ",""),("Neither","")]) :: Maybe Ordering
--   Just EQ
--   </pre>
choiceopt :: (String -> Maybe a) -> RawOpts -> Maybe a

-- | Collects processed and filtered list of options preserving their order
--   
--   <pre>
--   &gt;&gt;&gt; collectopts (const Nothing) (RawOpts [("x","")])
--   []
--   
--   &gt;&gt;&gt; collectopts Just (RawOpts [("a",""),("b","")])
--   [("a",""),("b","")]
--   </pre>
collectopts :: ((String, String) -> Maybe a) -> RawOpts -> [a]
stringopt :: String -> RawOpts -> String
maybestringopt :: String -> RawOpts -> Maybe String
listofstringopt :: String -> RawOpts -> [String]

-- | Reads the named option's Int argument. If not present it will return
--   0. An argument that is too small or too large will raise an error.
intopt :: String -> RawOpts -> Int

-- | Reads the named option's natural-number argument. If not present it
--   will return 0. An argument that is negative or too large will raise an
--   error.
posintopt :: String -> RawOpts -> Int

-- | Reads the named option's Int argument, if it is present. An argument
--   that is too small or too large will raise an error.
maybeintopt :: String -> RawOpts -> Maybe Int

-- | Reads the named option's natural-number argument, if it is present. An
--   argument that is negative or too large will raise an error.
maybeposintopt :: String -> RawOpts -> Maybe Int
maybecharopt :: String -> RawOpts -> Maybe Char
instance GHC.Show.Show Hledger.Data.RawOptions.RawOpts
instance Data.Default.Class.Default Hledger.Data.RawOptions.RawOpts


-- | Date parsing and utilities for hledger.
--   
--   For date and time values, we use the standard Day and UTCTime types.
--   
--   A <a>SmartDate</a> is a date which may be partially-specified or
--   relative. Eg 2008/12/31, but also 2008/12, 12/31, tomorrow, last week,
--   next year, in 5 days, in -3 quarters. We represent these as a triple
--   of strings like ("2008","12",""), ("","","tomorrow"),
--   ("","last","week").
--   
--   A <a>DateSpan</a> is the span of time between two specific calendar
--   dates, or an open-ended span where one or both dates are unspecified.
--   (A date span with both ends unspecified matches all dates.)
--   
--   An <a>Interval</a> is ledger's "reporting interval" - weekly, monthly,
--   quarterly, etc.
--   
--   <a>Period</a> will probably replace DateSpan in due course.
module Hledger.Data.Dates
fromEFDay :: EFDay -> Day
modifyEFDay :: (Day -> Day) -> EFDay -> EFDay

-- | Get the current local date.
getCurrentDay :: IO Day

-- | Get the current local month number.
getCurrentMonth :: IO Int

-- | Get the current local year.
getCurrentYear :: IO Integer
nulldate :: Day

-- | Does the span include the given date ?
spanContainsDate :: DateSpan -> Day -> Bool

-- | Does the period include the given date ? (Here to avoid import cycle).
periodContainsDate :: Period -> Day -> Bool

-- | Try to parse a couple of date string formats: `YYYY-MM-DD`,
--   `YYYY<i>MM</i>DD` or <a>DD</a>, with leading zeros required. For
--   internal use, not quite the same as the journal's "simple dates".
--   &gt;&gt;&gt; parsedateM "2008<i>02</i>03" Just 2008-02-03 &gt;&gt;&gt;
--   parsedateM "2008<i>02</i>03/" Nothing &gt;&gt;&gt; parsedateM
--   "2008<i>02</i>30" Nothing
parsedateM :: String -> Maybe Day
showDate :: Day -> Text
showEFDate :: EFDay -> Text

-- | Render a datespan as a display string, abbreviating into a compact
--   form if possible. Warning, hides whether dates are Exact or Flex.
showDateSpan :: DateSpan -> Text

-- | Show a DateSpan with its begin/end dates, exact or flex.
showDateSpanDebug :: DateSpan -> String

-- | Like showDateSpan, but show month spans as just the abbreviated month
--   name in the current locale.
showDateSpanMonthAbbrev :: DateSpan -> Text
elapsedSeconds :: Fractional a => UTCTime -> UTCTime -> a
prevday :: Day -> Day

-- | Parse a period expression, specifying a date span and optionally a
--   reporting interval. Requires a reference "today" date for resolving
--   any relative start/end dates (only; it is not needed for parsing the
--   reporting interval).
--   
--   <pre>
--   &gt;&gt;&gt; let p = parsePeriodExpr (fromGregorian 2008 11 26)
--   
--   &gt;&gt;&gt; p "from Aug to Oct"
--   Right (NoInterval,DateSpan 2008-08-01..2008-09-30)
--   
--   &gt;&gt;&gt; p "aug to oct"
--   Right (NoInterval,DateSpan 2008-08-01..2008-09-30)
--   
--   &gt;&gt;&gt; p "2009q2"
--   Right (NoInterval,DateSpan 2009Q2)
--   
--   &gt;&gt;&gt; p "Q3"
--   Right (NoInterval,DateSpan 2008Q3)
--   
--   &gt;&gt;&gt; p "every 3 days in Aug"
--   Right (Days 3,DateSpan 2008-08)
--   
--   &gt;&gt;&gt; p "daily from aug"
--   Right (Days 1,DateSpan 2008-08-01..)
--   
--   &gt;&gt;&gt; p "every week to 2009"
--   Right (Weeks 1,DateSpan ..2008-12-31)
--   
--   &gt;&gt;&gt; p "every 2nd day of month"
--   Right (DayOfMonth 2,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day"
--   Right (DayOfMonth 2,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day 2009.."
--   Right (DayOfMonth 2,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 2nd day 2009-"
--   Right (DayOfMonth 2,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 29th Nov"
--   Right (DayOfYear 11 29,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 29th nov ..2009"
--   Right (DayOfYear 11 29,DateSpan ..2008-12-31)
--   
--   &gt;&gt;&gt; p "every nov 29th"
--   Right (DayOfYear 11 29,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every Nov 29th 2009.."
--   Right (DayOfYear 11 29,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 11/29 from 2009"
--   Right (DayOfYear 11 29,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 11/29 since 2009"
--   Right (DayOfYear 11 29,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 2nd Thursday of month to 2009"
--   Right (WeekdayOfMonth 2 4,DateSpan ..2008-12-31)
--   
--   &gt;&gt;&gt; p "every 1st monday of month to 2009"
--   Right (WeekdayOfMonth 1 1,DateSpan ..2008-12-31)
--   
--   &gt;&gt;&gt; p "every tue"
--   Right (DaysOfWeek [2],DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day of week"
--   Right (DaysOfWeek [2],DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day of month"
--   Right (DayOfMonth 2,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day"
--   Right (DayOfMonth 2,DateSpan ..)
--   
--   &gt;&gt;&gt; p "every 2nd day 2009.."
--   Right (DayOfMonth 2,DateSpan 2009-01-01..)
--   
--   &gt;&gt;&gt; p "every 2nd day of month 2009.."
--   Right (DayOfMonth 2,DateSpan 2009-01-01..)
--   </pre>
periodexprp :: Day -> TextParser m (Interval, DateSpan)

-- | Parse a period expression to an Interval and overall DateSpan using
--   the provided reference date, or return a parse error.
parsePeriodExpr :: Day -> Text -> Either HledgerParseErrors (Interval, DateSpan)

-- | Like parsePeriodExpr, but call error' on failure.
parsePeriodExpr' :: Day -> Text -> (Interval, DateSpan)
nulldatespan :: DateSpan

-- | An exact datespan of zero length, that matches no date.
emptydatespan :: DateSpan
datesepchar :: TextParser m Char
datesepchars :: String
isDateSepChar :: Char -> Bool
spanStart :: DateSpan -> Maybe Day
spanEnd :: DateSpan -> Maybe Day
spanStartYear :: DateSpan -> Maybe Year
spanEndYear :: DateSpan -> Maybe Year

-- | Get the 0-2 years mentioned explicitly in a DateSpan.
spanYears :: DateSpan -> [Year]

-- | Get overall span enclosing multiple sequentially ordered spans. The
--   start and end date will be exact or flexible depending on the first
--   span's start date and last span's end date.
spansSpan :: [DateSpan] -> DateSpan

-- | Calculate the intersection of two datespans.
--   
--   For non-intersecting spans, gives an empty span beginning on the
--   second's start date: &gt;&gt;&gt; DateSpan (Just $ Flex $
--   fromGregorian 2018 01 01) (Just $ Flex $ fromGregorian 2018 01 03)
--   <a>spanIntersect</a> DateSpan (Just $ Flex $ fromGregorian 2018 01 03)
--   (Just $ Flex $ fromGregorian 2018 01 05) DateSpan
--   2018-01-03..2018-01-02
spanIntersect :: DateSpan -> DateSpan -> DateSpan

-- | Calculate the intersection of a number of datespans.
spansIntersect :: [DateSpan] -> DateSpan

-- | Fill any unspecified dates in the first span with the dates from the
--   second one. Sort of a one-way spanIntersect.
spanDefaultsFrom :: DateSpan -> DateSpan -> DateSpan

-- | Calculate the union of two datespans.
spanUnion :: DateSpan -> DateSpan -> DateSpan

-- | Calculate the union of a number of datespans.
spansUnion :: [DateSpan] -> DateSpan

-- | Calculate the minimal DateSpan containing all of the given Days (in
--   the usual exclusive-end-date sense: beginning on the earliest, and
--   ending on the day after the latest).
daysSpan :: [Day] -> DateSpan

-- | Select the DateSpan containing a given Day, if any, from a given list
--   of DateSpans.
--   
--   If the DateSpans are non-overlapping, this returns the unique
--   containing DateSpan, if it exists. If the DateSpans are overlapping,
--   it will return the containing DateSpan with the latest start date, and
--   then latest end date.
latestSpanContaining :: [DateSpan] -> Day -> Maybe DateSpan

-- | Parse a date in any of the formats allowed in Ledger's period
--   expressions, and some others. Assumes any text in the parse stream has
--   been lowercased. Returns a SmartDate, to be converted to a full date
--   later (see fixSmartDate).
--   
--   Examples:
--   
--   <pre>
--   2004                                        (start of year, which must have 4+ digits)
--   2004/10                                     (start of month, which must be 1-12)
--   2004/10/1                                   (exact date, day must be 1-31)
--   10/1                                        (month and day in current year)
--   21                                          (day in current month)
--   october, oct                                (start of month in current year)
--   yesterday, today, tomorrow                  (-1, 0, 1 days from today)
--   last/this/next day/week/month/quarter/year  (-1, 0, 1 periods from the current period)
--   in n days/weeks/months/quarters/years       (n periods from the current period)
--   n days/weeks/months/quarters/years ago      (-n periods from the current period)
--   20181201                                    (8 digit YYYYMMDD with valid year month and day)
--   201812                                      (6 digit YYYYMM with valid year and month)
--   </pre>
--   
--   Note malformed digit sequences might give surprising results:
--   
--   <pre>
--   201813                                      (6 digits with an invalid month is parsed as start of 6-digit year)
--   20181301                                    (8 digits with an invalid month is parsed as start of 8-digit year)
--   20181232                                    (8 digits with an invalid day gives an error)
--   201801012                                   (9+ digits beginning with a valid YYYYMMDD gives an error)
--   </pre>
--   
--   Eg:
--   
--   YYYYMMDD is parsed as year-month-date if those parts are valid (&gt;=4
--   digits, 1-12, and 1-31 respectively): &gt;&gt;&gt; parsewith
--   (smartdate &lt;* eof) "20181201" Right (SmartCompleteDate 2018-12-01)
--   
--   YYYYMM is parsed as year-month-01 if year and month are valid:
--   &gt;&gt;&gt; parsewith (smartdate &lt;* eof) "201804" Right
--   (SmartAssumeStart 2018 (Just 4))
--   
--   With an invalid month, it's parsed as a year: &gt;&gt;&gt; parsewith
--   (smartdate &lt;* eof) "201813" Right (SmartAssumeStart 201813 Nothing)
--   
--   A 9+ digit number beginning with valid YYYYMMDD gives an error:
--   &gt;&gt;&gt; parsewith (smartdate &lt;* eof) "201801012" Left (...)
--   
--   Big numbers not beginning with a valid YYYYMMDD are parsed as a year:
--   &gt;&gt;&gt; parsewith (smartdate &lt;* eof) "201813012" Right
--   (SmartAssumeStart 201813012 Nothing)
smartdate :: TextParser m SmartDate

-- | Split a DateSpan into consecutive exact spans of the specified
--   Interval. If the first argument is true and the interval is Weeks,
--   Months, Quarters or Years, the start date will be adjusted backward if
--   needed to nearest natural interval boundary (a monday, first of month,
--   first of quarter or first of year). If no interval is specified, the
--   original span is returned. If the original span is the null date span,
--   ie unbounded, the null date span is returned. If the original span is
--   empty, eg if the end date is &lt;= the start date, no spans are
--   returned.
--   
--   <h4>Examples:</h4>
--   
--   <pre>
--   &gt;&gt;&gt; let t i y1 m1 d1 y2 m2 d2 = splitSpan True i $ DateSpan (Just $ Flex $ fromGregorian y1 m1 d1) (Just $ Flex $ fromGregorian y2 m2 d2)
--   
--   &gt;&gt;&gt; t NoInterval 2008 01 01 2009 01 01
--   [DateSpan 2008]
--   
--   &gt;&gt;&gt; t (Quarters 1) 2008 01 01 2009 01 01
--   [DateSpan 2008Q1,DateSpan 2008Q2,DateSpan 2008Q3,DateSpan 2008Q4]
--   
--   &gt;&gt;&gt; splitSpan True (Quarters 1) nulldatespan
--   [DateSpan ..]
--   
--   &gt;&gt;&gt; t (Days 1) 2008 01 01 2008 01 01  -- an empty datespan
--   []
--   
--   &gt;&gt;&gt; t (Quarters 1) 2008 01 01 2008 01 01
--   []
--   
--   &gt;&gt;&gt; t (Months 1) 2008 01 01 2008 04 01
--   [DateSpan 2008-01,DateSpan 2008-02,DateSpan 2008-03]
--   
--   &gt;&gt;&gt; t (Months 2) 2008 01 01 2008 04 01
--   [DateSpan 2008-01-01..2008-02-29,DateSpan 2008-03-01..2008-04-30]
--   
--   &gt;&gt;&gt; t (Weeks 1) 2008 01 01 2008 01 15
--   [DateSpan 2007-12-31W01,DateSpan 2008-01-07W02,DateSpan 2008-01-14W03]
--   
--   &gt;&gt;&gt; t (Weeks 2) 2008 01 01 2008 01 15
--   [DateSpan 2007-12-31..2008-01-13,DateSpan 2008-01-14..2008-01-27]
--   
--   &gt;&gt;&gt; t (DayOfMonth 2) 2008 01 01 2008 04 01
--   [DateSpan 2007-12-02..2008-01-01,DateSpan 2008-01-02..2008-02-01,DateSpan 2008-02-02..2008-03-01,DateSpan 2008-03-02..2008-04-01]
--   
--   &gt;&gt;&gt; t (WeekdayOfMonth 2 4) 2011 01 01 2011 02 15
--   [DateSpan 2010-12-09..2011-01-12,DateSpan 2011-01-13..2011-02-09,DateSpan 2011-02-10..2011-03-09]
--   
--   &gt;&gt;&gt; t (DaysOfWeek [2]) 2011 01 01 2011 01 15
--   [DateSpan 2010-12-28..2011-01-03,DateSpan 2011-01-04..2011-01-10,DateSpan 2011-01-11..2011-01-17]
--   
--   &gt;&gt;&gt; t (DayOfYear 11 29) 2011 10 01 2011 10 15
--   [DateSpan 2010-11-29..2011-11-28]
--   
--   &gt;&gt;&gt; t (DayOfYear 11 29) 2011 12 01 2012 12 15
--   [DateSpan 2011-11-29..2012-11-28,DateSpan 2012-11-29..2013-11-28]
--   </pre>
splitSpan :: Bool -> Interval -> DateSpan -> [DateSpan]

-- | Construct a list of exact <a>DateSpan</a>s from a list of boundaries,
--   which fit within a given range.
spansFromBoundaries :: Day -> [Day] -> [DateSpan]

-- | Group elements based on where they fall in a list of <a>DateSpan</a>s
--   without gaps. The precondition is not checked.
groupByDateSpan :: Bool -> (a -> Day) -> [DateSpan] -> [a] -> [(DateSpan, [a])]

-- | Convert a SmartDate to a specific date using the provided reference
--   date. This date will be exact or flexible depending on whether the day
--   was specified exactly. (Missing least-significant parts produces a
--   flex date.)
--   
--   <h4>Examples:</h4>
--   
--   <pre>
--   &gt;&gt;&gt; :set -XOverloadedStrings
--   
--   &gt;&gt;&gt; let t = fixSmartDateStr (fromGregorian 2008 11 26)
--   
--   &gt;&gt;&gt; t "0000-01-01"
--   "0000-01-01"
--   
--   &gt;&gt;&gt; t "1999-12-02"
--   "1999-12-02"
--   
--   &gt;&gt;&gt; t "1999.12.02"
--   "1999-12-02"
--   
--   &gt;&gt;&gt; t "1999/3/2"
--   "1999-03-02"
--   
--   &gt;&gt;&gt; t "19990302"
--   "1999-03-02"
--   
--   &gt;&gt;&gt; t "2008/2"
--   "2008-02-01"
--   
--   &gt;&gt;&gt; t "0020/2"
--   "0020-02-01"
--   
--   &gt;&gt;&gt; t "1000"
--   "1000-01-01"
--   
--   &gt;&gt;&gt; t "4/2"
--   "2008-04-02"
--   
--   &gt;&gt;&gt; t "2"
--   "2008-11-02"
--   
--   &gt;&gt;&gt; t "January"
--   "2008-01-01"
--   
--   &gt;&gt;&gt; t "feb"
--   "2008-02-01"
--   
--   &gt;&gt;&gt; t "today"
--   "2008-11-26"
--   
--   &gt;&gt;&gt; t "yesterday"
--   "2008-11-25"
--   
--   &gt;&gt;&gt; t "tomorrow"
--   "2008-11-27"
--   
--   &gt;&gt;&gt; t "this day"
--   "2008-11-26"
--   
--   &gt;&gt;&gt; t "last day"
--   "2008-11-25"
--   
--   &gt;&gt;&gt; t "next day"
--   "2008-11-27"
--   
--   &gt;&gt;&gt; t "this week"  -- last monday
--   "2008-11-24"
--   
--   &gt;&gt;&gt; t "last week"  -- previous monday
--   "2008-11-17"
--   
--   &gt;&gt;&gt; t "next week"  -- next monday
--   "2008-12-01"
--   
--   &gt;&gt;&gt; t "this month"
--   "2008-11-01"
--   
--   &gt;&gt;&gt; t "last month"
--   "2008-10-01"
--   
--   &gt;&gt;&gt; t "next month"
--   "2008-12-01"
--   
--   &gt;&gt;&gt; t "this quarter"
--   "2008-10-01"
--   
--   &gt;&gt;&gt; t "last quarter"
--   "2008-07-01"
--   
--   &gt;&gt;&gt; t "next quarter"
--   "2009-01-01"
--   
--   &gt;&gt;&gt; t "this year"
--   "2008-01-01"
--   
--   &gt;&gt;&gt; t "last year"
--   "2007-01-01"
--   
--   &gt;&gt;&gt; t "next year"
--   "2009-01-01"
--   </pre>
--   
--   t "last wed" "2008-11-19" t "next friday" "2008-11-28" t "next
--   january" "2009-01-01"
--   
--   <pre>
--   &gt;&gt;&gt; t "in 5 days"
--   "2008-12-01"
--   
--   &gt;&gt;&gt; t "in 7 months"
--   "2009-06-01"
--   
--   &gt;&gt;&gt; t "in -2 weeks"
--   "2008-11-10"
--   
--   &gt;&gt;&gt; t "1 quarter ago"
--   "2008-07-01"
--   
--   &gt;&gt;&gt; t "1 week ahead"
--   "2008-12-01"
--   </pre>
fixSmartDate :: Day -> SmartDate -> EFDay

-- | Convert a smart date string to an explicit yyyy/mm/dd string using the
--   provided reference date, or raise an error.
fixSmartDateStr :: Day -> Text -> Text

-- | A safe version of fixSmartDateStr.
fixSmartDateStrEither :: Day -> Text -> Either HledgerParseErrors Text
fixSmartDateStrEither' :: Day -> Text -> Either HledgerParseErrors EFDay

-- | Parse a year number from a Text, making sure that at least four digits
--   are used.
yearp :: TextParser m Integer

-- | Count the days in a DateSpan, or if it is open-ended return Nothing.
daysInSpan :: DateSpan -> Maybe Integer
tests_Dates :: TestTree
intervalBoundaryBefore :: Interval -> Day -> Day
instance GHC.Show.Show Hledger.Data.Types.DateSpan


-- | <a>AccountName</a>s are strings like <tt>assets:cash:petty</tt>, with
--   multiple components separated by <tt>:</tt>. From a set of these we
--   derive the account hierarchy.
module Hledger.Data.AccountName
accountLeafName :: AccountName -> Text
accountNameComponents :: AccountName -> [Text]

-- | Remove some number of account name components from the front of the
--   account name. If the special "<a>unbudgeted</a>" top-level account is
--   present, it is preserved and dropping affects the rest of the account
--   name.
accountNameDrop :: Int -> AccountName -> AccountName
accountNameFromComponents :: [Text] -> AccountName
accountNameLevel :: AccountName -> Int

-- | Convert an account name to a regular expression matching it but not
--   its subaccounts.
accountNameToAccountOnlyRegex :: AccountName -> Regexp

-- | Convert an account name to a regular expression matching it but not
--   its subaccounts, case insensitively.
accountNameToAccountOnlyRegexCI :: AccountName -> Regexp

-- | Convert an account name to a regular expression matching it and its
--   subaccounts.
accountNameToAccountRegex :: AccountName -> Regexp

-- | Convert an account name to a regular expression matching it and its
--   subaccounts, case insensitively.
accountNameToAccountRegexCI :: AccountName -> Regexp

-- | Convert a list of account names to a tree, efficiently.
accountNameTreeFrom :: [AccountName] -> Tree AccountName

-- | Truncate all account name components but the last to two characters.
accountSummarisedName :: AccountName -> Text

-- | Try to guess an account's type from its name, matching common English
--   top-level account names.
accountNameInferType :: AccountName -> Maybe AccountType
accountNameType :: Map AccountName AccountType -> AccountName -> Maybe AccountType

-- | Regular expressions matching common English top-level account names,
--   used as a fallback when account types are not declared.
assetAccountRegex :: Regexp
cashAccountRegex :: Regexp
liabilityAccountRegex :: Regexp
equityAccountRegex :: Regexp
conversionAccountRegex :: Regexp
revenueAccountRegex :: Regexp
expenseAccountRegex :: Regexp
acctsep :: Text
acctsepchar :: Char

-- | Keep only the first n components of an account name, where n is a
--   positive integer. If n is Just 0, returns the empty string, if n is
--   Nothing, return the full name.
clipAccountName :: Maybe Int -> AccountName -> AccountName

-- | Keep only the first n components of an account name, where n is a
--   positive integer. If n is Just 0, returns "...", if n is Nothing,
--   return the full name.
clipOrEllipsifyAccountName :: Maybe Int -> AccountName -> AccountName

-- | Elide an account name to fit in the specified width. From the ledger
--   2.6 news:
--   
--   <pre>
--   What Ledger now does is that if an account name is too long, it will
--   start abbreviating the first parts of the account name down to two
--   letters in length.  If this results in a string that is still too
--   long, the front will be elided -- not the end.  For example:
--   
--     Expenses:Cash           ; OK, not too long
--     Ex:Wednesday:Cash       ; <a>Expenses</a> was abbreviated to fit
--     Ex:We:Afternoon:Cash    ; <a>Expenses</a> and <a>Wednesday</a> abbreviated
--     ; Expenses:Wednesday:Afternoon:Lunch:Snack:Candy:Chocolate:Cash
--     ..:Af:Lu:Sn:Ca:Ch:Cash  ; Abbreviated and elided!
--   </pre>
elideAccountName :: Int -> AccountName -> AccountName

-- | Escape an AccountName for use within a regular expression.
--   &gt;&gt;&gt; putStr . T.unpack $ escapeName "First?!#$*?$(*) !<tt>^#*?
--   %)*!</tt>#" First?!#$*?$(*) !<tt>^#*? %)*!</tt>#
escapeName :: AccountName -> Text

-- | "a:b:c" -&gt; ["a","a:b","a:b:c"]
expandAccountName :: AccountName -> [AccountName]

-- | Sorted unique account names implied by these account names, ie these
--   plus all their parent accounts up to the root. Eg: ["a:b:c","d:e"]
--   -&gt; ["a","a:b","a:b:c","d","d:e"]
expandAccountNames :: [AccountName] -> [AccountName]

-- | Is the first account a parent or other ancestor of (and not the same
--   as) the second ?
isAccountNamePrefixOf :: AccountName -> AccountName -> Bool
isSubAccountNameOf :: AccountName -> AccountName -> Bool
parentAccountName :: AccountName -> AccountName
parentAccountNames :: AccountName -> [AccountName]

-- | From a list of account names, select those which are direct
--   subaccounts of the given account name.
subAccountNamesFrom :: [AccountName] -> AccountName -> [AccountName]

-- | <ul>
--   <li><i>"a:b:c","d:e"</i> -&gt; ["a","d"]</li>
--   </ul>
topAccountNames :: [AccountName] -> [AccountName]

-- | "a:b:c" -&gt; "a"
topAccountName :: AccountName -> AccountName

-- | A top-level account prefixed to some accounts in budget reports.
--   Defined here so it can be ignored by accountNameDrop.
unbudgetedAccountName :: Text
accountNamePostingType :: AccountName -> PostingType
accountNameWithoutPostingType :: AccountName -> AccountName
accountNameWithPostingType :: PostingType -> AccountName -> AccountName

-- | Prefix one account name to another, preserving posting type indicators
--   like concatAccountNames.
joinAccountNames :: AccountName -> AccountName -> AccountName

-- | Join account names into one. If any of them has () or [] posting type
--   indicators, these (the first type encountered) will also be applied to
--   the resulting account name.
concatAccountNames :: [AccountName] -> AccountName

-- | Rewrite an account name using all matching aliases from the given
--   list, in sequence. Each alias sees the result of applying the previous
--   aliases. Or, return any error arising from a bad regular expression in
--   the aliases.
accountNameApplyAliases :: [AccountAlias] -> AccountName -> Either RegexError AccountName

-- | Memoising version of accountNameApplyAliases, maybe overkill.
accountNameApplyAliasesMemo :: [AccountAlias] -> AccountName -> Either RegexError AccountName
accountNameToBeancount :: AccountName -> BeancountAccountName
beancountTopLevelAccounts :: IsString a => [a]
tests_AccountName :: TestTree


-- | Parse format strings provided by --format, with awareness of hledger's
--   report item fields. The formats are used by report-specific renderers
--   like renderBalanceReportItem.
module Hledger.Data.StringFormat

-- | Parse a string format specification, or return a parse error.
parseStringFormat :: Text -> Either String StringFormat
defaultStringFormatStyle :: [StringFormatComponent] -> StringFormat

-- | A format specification/template to use when rendering a report line
--   item as text.
--   
--   A format is a sequence of components; each is either a literal string,
--   or a hledger report item field with specified width and justification
--   whose value will be interpolated at render time.
--   
--   A component's value may be a multi-line string (or a multi-commodity
--   amount), in which case the final string will be either single-line or
--   a top or bottom-aligned multi-line string depending on the
--   StringFormat variant used.
--   
--   Currently this is only used in the balance command's single-column
--   mode, which provides a limited StringFormat renderer.
data StringFormat

-- | multi-line values will be rendered on one line, comma-separated
OneLine :: [StringFormatComponent] -> StringFormat

-- | values will be top-aligned (and bottom-padded to the same height)
TopAligned :: [StringFormatComponent] -> StringFormat

-- | values will be bottom-aligned (and top-padded)
BottomAligned :: [StringFormatComponent] -> StringFormat
data StringFormatComponent

-- | Literal text to be rendered as-is
FormatLiteral :: Text -> StringFormatComponent

-- | A data field to be formatted and interpolated. Parameters:
--   
--   <ul>
--   <li>Left justify ? Right justified if false</li>
--   <li>Minimum width ? Will be space-padded if narrower than this</li>
--   <li>Maximum width ? Will be clipped if wider than this</li>
--   <li>Which of the standard hledger report item fields to
--   interpolate</li>
--   </ul>
FormatField :: Bool -> Maybe Int -> Maybe Int -> ReportItemField -> StringFormatComponent

-- | An id identifying which report item field to interpolate. These are
--   drawn from several hledger report types, so are not all applicable for
--   a given report.
data ReportItemField

-- | A posting or balance report item's account name
AccountField :: ReportItemField

-- | A posting or register or entry report item's date
DefaultDateField :: ReportItemField

-- | A posting or register or entry report item's description
DescriptionField :: ReportItemField

-- | A balance or posting report item's balance or running total. Always
--   rendered right-justified.
TotalField :: ReportItemField

-- | A balance report item's indent level (which may be different from the
--   account name depth). Rendered as this number of spaces, multiplied by
--   the minimum width spec if any.
DepthSpacerField :: ReportItemField

-- | A report item's nth field. May be unimplemented.
FieldNo :: Int -> ReportItemField

-- | Default line format for balance report: "%20(total)
--   %2(depth_spacer)%-(account)"
defaultBalanceLineFormat :: StringFormat
tests_StringFormat :: TestTree
instance GHC.Classes.Eq Hledger.Data.StringFormat.ReportItemField
instance GHC.Show.Show Hledger.Data.StringFormat.ReportItemField
instance GHC.Classes.Eq Hledger.Data.StringFormat.StringFormatComponent
instance GHC.Show.Show Hledger.Data.StringFormat.StringFormatComponent
instance GHC.Classes.Eq Hledger.Data.StringFormat.StringFormat
instance GHC.Show.Show Hledger.Data.StringFormat.StringFormat
instance Data.Default.Class.Default Hledger.Data.StringFormat.StringFormat


-- | A simple <a>Amount</a> is some quantity of money, shares, or anything
--   else. It has a (possibly null) <a>CommoditySymbol</a> and a numeric
--   quantity:
--   
--   <pre>
--   $1
--   £-50
--   EUR 3.44
--   GOOG 500
--   1.5h
--   90 apples
--   0
--   </pre>
--   
--   It may also have an assigned <tt>Price</tt>, representing this
--   amount's per-unit or total cost in a different commodity. If present,
--   this is rendered like so:
--   
--   <pre>
--   EUR 2 @ $1.50  (unit price)
--   EUR 2 @@ $3   (total price)
--   </pre>
--   
--   A <a>MixedAmount</a> is zero or more simple amounts, so can represent
--   multiple commodities; this is the type most often used:
--   
--   <pre>
--   0
--   $50 + EUR 3
--   16h + $13.55 + AAPL 500 + 6 oranges
--   </pre>
--   
--   A mixed amount is always "normalised", it has no more than one amount
--   in each commodity and price. When calling <a>amounts</a> it will have
--   no zero amounts, or just a single zero amount and no other amounts.
--   
--   Limited arithmetic with simple and mixed amounts is supported, best
--   used with similar amounts since it mostly ignores assigned prices and
--   commodity exchange rates.
module Hledger.Data.Amount

-- | Show space-containing commodity symbols quoted, as they are in a
--   journal.
showCommoditySymbol :: Text -> Text
isNonsimpleCommodityChar :: Char -> Bool
quoteCommoditySymbolIfNeeded :: Text -> Text

-- | The empty simple amount - a zero with no commodity symbol or cost and
--   the default amount display style.
nullamt :: Amount

-- | A special amount used as a marker, meaning "no explicit amount
--   provided here, infer it when needed". It is nullamt with commodity
--   symbol <a>AUTO</a>.
missingamt :: Amount
num :: Quantity -> Amount
usd :: DecimalRaw Integer -> Amount
eur :: DecimalRaw Integer -> Amount
gbp :: DecimalRaw Integer -> Amount
per :: Quantity -> Amount
hrs :: Quantity -> Amount
at :: Amount -> Amount -> Amount
(@@) :: Amount -> Amount -> Amount

-- | Convert an amount to the specified commodity, ignoring and discarding
--   any assigned prices and assuming an exchange rate of 1.
amountWithCommodity :: CommoditySymbol -> Amount -> Amount

-- | Convert a amount to its "cost" or "selling price" in another
--   commodity, using its attached transaction price if it has one. Notes:
--   
--   <ul>
--   <li>price amounts must be MixedAmounts with exactly one component
--   Amount (or there will be a runtime error XXX)</li>
--   <li>price amounts should be positive in the Journal (though this is
--   currently not enforced)</li>
--   </ul>
amountCost :: Amount -> Amount

-- | Is this Amount (and its total price, if it has one) exactly zero,
--   ignoring its display precision ?
amountIsZero :: Amount -> Bool

-- | Do this Amount and (and its total price, if it has one) appear to be
--   zero when rendered with its display precision ? The display precision
--   should usually have a specific value here; if unset, it will be
--   treated like NaturalPrecision.
amountLooksZero :: Amount -> Bool

-- | Divide an amount's quantity (and total cost, if any) by some number.
divideAmount :: Quantity -> Amount -> Amount

-- | Multiply an amount's quantity (and its total price, if it has one) by
--   a constant.
multiplyAmount :: Quantity -> Amount -> Amount

-- | Invert an amount (replace its quantity q with 1/q). (Its cost if any
--   is not changed, currently.)
invertAmount :: Amount -> Amount

-- | Default amount style
amountstyle :: AmountStyle

-- | <i>Deprecated: please use styleAmounts instead</i>
canonicaliseAmount :: Map CommoditySymbol AmountStyle -> Amount -> Amount

-- | <i>Deprecated: please use styleAmounts instead</i>
styleAmount :: Map CommoditySymbol AmountStyle -> Amount -> Amount

-- | <i>Deprecated: please use styleAmounts instead</i>
amountSetStyles :: Map CommoditySymbol AmountStyle -> Amount -> Amount

-- | Set this amount style's rounding strategy when being applied to
--   amounts.
amountStyleSetRounding :: Rounding -> AmountStyle -> AmountStyle
amountStylesSetRounding :: Rounding -> Map CommoditySymbol AmountStyle -> Map CommoditySymbol AmountStyle

-- | Reset this amount's display style to the default.
amountUnstyled :: Amount -> Amount

-- | Options for the display of Amount and MixedAmount. (ee also
--   Types.AmountStyle.
data AmountDisplayOpts
AmountDisplayOpts :: Bool -> Bool -> Maybe [CommoditySymbol] -> Bool -> Bool -> Bool -> Maybe Int -> Maybe Int -> Bool -> Bool -> AmountDisplayOpts

-- | Whether to display commodity symbols.
[displayCommodity] :: AmountDisplayOpts -> Bool

-- | Whether to display commodity symbols for zero Amounts.
[displayZeroCommodity] :: AmountDisplayOpts -> Bool

-- | For a MixedAmount, an optional order in which to display the
--   commodities. Also, causes 0s to be generated for any commodities which
--   are not present (important for tabular reports).
[displayCommodityOrder] :: AmountDisplayOpts -> Maybe [CommoditySymbol]

-- | Whether to display digit group marks (eg thousands separators)
[displayDigitGroups] :: AmountDisplayOpts -> Bool

-- | Whether to add a trailing decimal mark when there are no decimal
--   digits and there are digit group marks, to disambiguate
[displayForceDecimalMark] :: AmountDisplayOpts -> Bool

-- | Whether to display on one line.
[displayOneLine] :: AmountDisplayOpts -> Bool

-- | Minimum width to pad to
[displayMinWidth] :: AmountDisplayOpts -> Maybe Int

-- | Maximum width to clip to
[displayMaxWidth] :: AmountDisplayOpts -> Maybe Int

-- | Whether to display Amounts' costs.
[displayCost] :: AmountDisplayOpts -> Bool

-- | Whether to ansi-colourise negative Amounts.
[displayColour] :: AmountDisplayOpts -> Bool

-- | Display amounts without colour, and with various other defaults.
noColour :: AmountDisplayOpts

-- | Display Amount and MixedAmount with no prices.
noCost :: AmountDisplayOpts

-- | Display Amount and MixedAmount on one line with no prices.
oneLine :: AmountDisplayOpts

-- | Display Amount and MixedAmount in a form suitable for CSV output.
csvDisplay :: AmountDisplayOpts

-- | General function to generate a WideBuilder for an Amount, according
--   the supplied AmountDisplayOpts. This is the main function to use for
--   showing Amounts, constructing a builder; it can then be converted to a
--   Text with wbToText, or to a String with wbUnpack. Some special cases:
--   
--   <ul>
--   <li>The special "missing" amount is displayed as the empty
--   string.</li>
--   <li>If an amount is showing digit group separators but no decimal
--   places, we force showing a decimal mark (with nothing after it) to
--   make it easier to parse correctly.</li>
--   </ul>
showAmountB :: AmountDisplayOpts -> Amount -> WideBuilder

-- | Get the string representation of an amount, based on its commodity's
--   display settings. String representations equivalent to zero are
--   converted to just "0". The special "missing" amount is displayed as
--   the empty string.
--   
--   <pre>
--   showAmount = wbUnpack . showAmountB noColour
--   </pre>
showAmount :: Amount -> String

-- | Like showAmount but uses the given amount display options.
showAmountWith :: AmountDisplayOpts -> Amount -> String
showAmountCostB :: Amount -> WideBuilder

-- | Colour version. For a negative amount, adds ANSI codes to change the
--   colour, currently to hard-coded red.
--   
--   <pre>
--   cshowAmount = wbUnpack . showAmountB def{displayColour=True}
--   </pre>
cshowAmount :: Amount -> String

-- | Like showAmount, but show a zero amount's commodity if it has one.
--   
--   <pre>
--   showAmountWithZeroCommodity = wbUnpack . showAmountB noColour{displayZeryCommodity=True}
--   </pre>
showAmountWithZeroCommodity :: Amount -> String

-- | Get a string representation of an amount for debugging, appropriate to
--   the current debug level. 9 shows maximum detail.
showAmountDebug :: Amount -> String

-- | Get the string representation of an amount, without any @ price.
--   
--   <pre>
--   showAmountWithoutPrice = wbUnpack . showAmountB noCost
--   </pre>
showAmountWithoutPrice :: Amount -> String

-- | Set an amount's display precision.
amountSetPrecision :: AmountPrecision -> Amount -> Amount

-- | Ensure an amount's display precision is at least the given minimum
--   precision. Always sets an explicit Precision.
amountSetPrecisionMin :: Word8 -> Amount -> Amount

-- | Ensure an amount's display precision is at most the given maximum
--   precision. Always sets an explicit Precision.
amountSetPrecisionMax :: Word8 -> Amount -> Amount

-- | Set an amount's display precision, flipped.
withPrecision :: Amount -> AmountPrecision -> Amount

-- | Increase an amount's display precision, if needed, to enough decimal
--   places to show it exactly (showing all significant decimal digits,
--   without trailing zeros). If the amount's display precision is unset,
--   it will be treated as precision 0.
amountSetFullPrecision :: Amount -> Amount

-- | We often want to display "infinite decimal" amounts rounded to some
--   readable number of digits, while still displaying amounts with a large
--   "non infinite" number of decimal digits (eg, 100 or 200 digits) in
--   full. This helper is like amountSetFullPrecision, but with some
--   refinements: 1. If the internal precision is the maximum (255),
--   indicating an infinite decimal, the display precision is set to a
--   smaller hard-coded default (8). 2. A maximum display precision can be
--   specified, setting a hard upper limit. This function always sets an
--   explicit display precision (ie, Precision n).
amountSetFullPrecisionOr :: Maybe Word8 -> Amount -> Amount

-- | How many internal decimal digits are stored for this amount ?
amountInternalPrecision :: Amount -> Word8

-- | How many decimal digits will be displayed for this amount ?
amountDisplayPrecision :: Amount -> Word8

-- | The fallback display precision used when showing amounts representing
--   an infinite decimal.
defaultMaxPrecision :: Word8

-- | Set an amount's internal decimal precision as well as its display
--   precision. This rounds or pads its Decimal quantity to the specified
--   number of decimal places. Rounding is done with Data.Decimal's default
--   roundTo function: "If the value ends in 5 then it is rounded to the
--   nearest even value (Banker's Rounding)".
setAmountInternalPrecision :: Word8 -> Amount -> Amount

-- | setAmountInternalPrecision with arguments flipped.
withInternalPrecision :: Amount -> Word8 -> Amount

-- | Set (or clear) an amount's display decimal point.
setAmountDecimalPoint :: Maybe Char -> Amount -> Amount

-- | Set (or clear) an amount's display decimal point, flipped.
withDecimalPoint :: Amount -> Maybe Char -> Amount

-- | Strip all prices from an Amount
amountStripCost :: Amount -> Amount

-- | The empty mixed amount.
nullmixedamt :: MixedAmount

-- | A special mixed amount used as a marker, meaning "no explicit amount
--   provided here, infer it when needed".
missingmixedamt :: MixedAmount

-- | Does this MixedAmount include the "missing amount" marker ? Note:
--   currently does not test for equality with missingmixedamt, instead it
--   looks for missingamt among the Amounts. missingamt should always be
--   alone, but detect it even if not.
isMissingMixedAmount :: MixedAmount -> Bool

-- | Convert amounts in various commodities into a mixed amount.
mixed :: Foldable t => t Amount -> MixedAmount

-- | Create a MixedAmount from a single Amount.
mixedAmount :: Amount -> MixedAmount

-- | Add an Amount to a MixedAmount, normalising the result. Amounts with
--   different costs are kept separate.
maAddAmount :: MixedAmount -> Amount -> MixedAmount

-- | Add a collection of Amounts to a MixedAmount, normalising the result.
--   Amounts with different costs are kept separate.
maAddAmounts :: Foldable t => MixedAmount -> t Amount -> MixedAmount

-- | Get a mixed amount's component amounts, with some cleanups. The
--   following descriptions are old and possibly wrong:
--   
--   <ul>
--   <li>amounts in the same commodity are combined unless they have
--   different prices or total prices</li>
--   <li>multiple zero amounts, all with the same non-null commodity, are
--   replaced by just the last of them, preserving the commodity and amount
--   style (all but the last zero amount are discarded)</li>
--   <li>multiple zero amounts with multiple commodities, or no
--   commodities, are replaced by one commodity-less zero amount</li>
--   <li>an empty amount list is replaced by one commodity-less zero
--   amount</li>
--   <li>the special "missing" mixed amount remains unchanged</li>
--   </ul>
amounts :: MixedAmount -> [Amount]

-- | Get a mixed amount's component amounts without normalising zero and
--   missing amounts. This is used for JSON serialisation, so the order is
--   important. In particular, we want the Amounts given in the order of
--   the MixedAmountKeys, i.e. lexicographically first by commodity, then
--   by price commodity, then by unit price from most negative to most
--   positive.
amountsRaw :: MixedAmount -> [Amount]

-- | Get a mixed amount's component amounts, with some cleanups. This is a
--   new version of <tt>amounts</tt>, with updated descriptions and
--   optimised for <tt>print</tt> to show commodityful zeros.
--   
--   <ul>
--   <li>If it contains the "missing amount" marker, only that is returned
--   (discarding any additional amounts).</li>
--   <li>Or if it contains any non-zero amounts, only those are returned
--   (discarding any zeroes).</li>
--   <li>Or if it contains any zero amounts (possibly more than one,
--   possibly in different commodities), all of those are returned.</li>
--   <li>Otherwise the null amount is returned.</li>
--   </ul>
amountsPreservingZeros :: MixedAmount -> [Amount]

-- | Get this mixed amount's commodities as a set. Returns an empty set if
--   there are no amounts.
maCommodities :: MixedAmount -> Set CommoditySymbol

-- | Filter a mixed amount's component amounts by a predicate.
filterMixedAmount :: (Amount -> Bool) -> MixedAmount -> MixedAmount

-- | Return an unnormalised MixedAmount containing exactly one Amount with
--   the specified commodity and the quantity of that commodity found in
--   the original. NB if Amount's quantity is zero it will be discarded
--   next time the MixedAmount gets normalised.
filterMixedAmountByCommodity :: CommoditySymbol -> MixedAmount -> MixedAmount

-- | Apply a transform to a mixed amount's component <a>Amount</a>s.
mapMixedAmount :: (Amount -> Amount) -> MixedAmount -> MixedAmount

-- | Unify a MixedAmount to a single commodity value if possible. This
--   consolidates amounts of the same commodity and discards zero amounts;
--   but this one insists on simplifying to a single commodity, and will
--   return Nothing if this is not possible.
unifyMixedAmount :: MixedAmount -> Maybe Amount

-- | Remove all prices from a MixedAmount.
mixedAmountStripPrices :: MixedAmount -> MixedAmount

-- | Convert all component amounts to cost/selling price where possible
--   (see amountCost).
mixedAmountCost :: MixedAmount -> MixedAmount

-- | Negate mixed amount's quantities (and total prices, if any).
maNegate :: MixedAmount -> MixedAmount

-- | Sum two MixedAmount, keeping the cost of the first if any. Amounts
--   with different costs are kept separate (since 2021).
maPlus :: MixedAmount -> MixedAmount -> MixedAmount

-- | Subtract a MixedAmount from another. Amounts with different costs are
--   kept separate.
maMinus :: MixedAmount -> MixedAmount -> MixedAmount

-- | Sum a collection of MixedAmounts. Amounts with different costs are
--   kept separate.
maSum :: Foldable t => t MixedAmount -> MixedAmount

-- | Divide a mixed amount's quantities (and total prices, if any) by a
--   constant.
divideMixedAmount :: Quantity -> MixedAmount -> MixedAmount

-- | Multiply a mixed amount's quantities (and total prices, if any) by a
--   constant.
multiplyMixedAmount :: Quantity -> MixedAmount -> MixedAmount

-- | Calculate the average of some mixed amounts.
averageMixedAmounts :: [MixedAmount] -> MixedAmount

-- | Is this amount negative ? The price is ignored.
isNegativeAmount :: Amount -> Bool

-- | Is this mixed amount negative, if we can tell that unambiguously? Ie
--   when normalised, are all individual commodity amounts negative ?
isNegativeMixedAmount :: MixedAmount -> Maybe Bool

-- | Is this mixed amount exactly zero, ignoring its display precision? See
--   amountIsZero.
mixedAmountIsZero :: MixedAmount -> Bool

-- | Is this mixed amount exactly zero, ignoring its display precision?
--   
--   A convenient alias for mixedAmountIsZero.
maIsZero :: MixedAmount -> Bool

-- | Is this mixed amount non-zero, ignoring its display precision?
--   
--   A convenient alias for not . mixedAmountIsZero.
maIsNonZero :: MixedAmount -> Bool

-- | Does this mixed amount appear to be zero when rendered with its
--   display precision? See amountLooksZero.
mixedAmountLooksZero :: MixedAmount -> Bool

-- | <i>Deprecated: please use mixedAmountSetStyle False (or styleAmounts)
--   instead</i>
canonicaliseMixedAmount :: Map CommoditySymbol AmountStyle -> MixedAmount -> MixedAmount

-- | Given a map of standard commodity display styles, find and apply the
--   appropriate style to each individual amount.

-- | <i>Deprecated: please use styleAmounts instead</i>
styleMixedAmount :: Map CommoditySymbol AmountStyle -> MixedAmount -> MixedAmount

-- | <i>Deprecated: please use styleAmounts instead</i>
mixedAmountSetStyles :: Map CommoditySymbol AmountStyle -> MixedAmount -> MixedAmount

-- | Reset each individual amount's display style to the default.
mixedAmountUnstyled :: MixedAmount -> MixedAmount

-- | Get the string representation of a mixed amount, after normalising it
--   to one amount per commodity. Assumes amounts have no or similar
--   prices, otherwise this can show misleading prices.
--   
--   <pre>
--   showMixedAmount = wbUnpack . showMixedAmountB noColour
--   </pre>
showMixedAmount :: MixedAmount -> String

-- | Like showMixedAmount but uses the given amount display options. See
--   showMixedAmountB for special cases.
showMixedAmountWith :: AmountDisplayOpts -> MixedAmount -> String

-- | Get the one-line string representation of a mixed amount (also showing
--   any costs).
--   
--   <pre>
--   showMixedAmountOneLine = wbUnpack . showMixedAmountB oneLine
--   </pre>
showMixedAmountOneLine :: MixedAmount -> String

-- | Get an unambiguous string representation of a mixed amount for
--   debugging.
showMixedAmountDebug :: MixedAmount -> String

-- | Get the string representation of a mixed amount, without showing any
--   transaction prices. With a True argument, adds ANSI codes to show
--   negative amounts in red.
--   
--   <pre>
--   showMixedAmountWithoutPrice c = wbUnpack . showMixedAmountB noCost{displayColour=c}
--   </pre>
showMixedAmountWithoutPrice :: Bool -> MixedAmount -> String

-- | Get the one-line string representation of a mixed amount, but without
--   any @ prices. With a True argument, adds ANSI codes to show negative
--   amounts in red.
--   
--   <pre>
--   showMixedAmountOneLineWithoutPrice c = wbUnpack . showMixedAmountB oneLine{displayColour=c}
--   </pre>
showMixedAmountOneLineWithoutPrice :: Bool -> MixedAmount -> String

-- | Like showMixedAmountOneLineWithoutPrice, but show at most the given
--   width, with an elision indicator if there are more. With a True
--   argument, adds ANSI codes to show negative amounts in red.
--   
--   <pre>
--   showMixedAmountElided w c = wbUnpack . showMixedAmountB oneLine{displayColour=c, displayMaxWidth=Just w}
--   </pre>
showMixedAmountElided :: Int -> Bool -> MixedAmount -> String

-- | Like showMixedAmount, but zero amounts are shown with their commodity
--   if they have one.
--   
--   <pre>
--   showMixedAmountWithZeroCommodity = wbUnpack . showMixedAmountB noColour{displayZeroCommodity=True}
--   </pre>
showMixedAmountWithZeroCommodity :: MixedAmount -> String

-- | General function to generate a WideBuilder for a MixedAmount,
--   according to the supplied AmountDisplayOpts. This is the main function
--   to use for showing MixedAmounts, constructing a builder; it can then
--   be converted to a Text with wbToText, or to a String with wbUnpack.
--   
--   If a maximum width is given then: - If displayed on one line, it will
--   display as many Amounts as can fit in the given width, and further
--   Amounts will be elided. There will always be at least one amount
--   displayed, even if this will exceed the requested maximum width. - If
--   displayed on multiple lines, any Amounts longer than the maximum width
--   will be elided.
showMixedAmountB :: AmountDisplayOpts -> MixedAmount -> WideBuilder

-- | Helper for showMixedAmountB (and postingAsLines, ...) to show a list
--   of Amounts on multiple lines. This returns the list of WideBuilders:
--   one for each Amount, and padded/elided to the appropriate width. This
--   does not honour displayOneLine; all amounts will be displayed as if
--   displayOneLine were False.
showMixedAmountLinesB :: AmountDisplayOpts -> MixedAmount -> [WideBuilder]

-- | Convert a WideBuilder to a strict Text.
wbToText :: WideBuilder -> Text

-- | Convert a WideBuilder to a String.
wbUnpack :: WideBuilder -> String

-- | Set the display precision in the amount's commodities.
mixedAmountSetPrecision :: AmountPrecision -> MixedAmount -> MixedAmount

-- | In each component amount, increase the display precision sufficiently
--   to render it exactly (showing all significant decimal digits).
mixedAmountSetFullPrecision :: MixedAmount -> MixedAmount

-- | In each component amount, ensure the display precision is at least the
--   given value. Makes all amounts have an explicit Precision.
mixedAmountSetPrecisionMin :: Word8 -> MixedAmount -> MixedAmount

-- | In each component amount, ensure the display precision is at most the
--   given value. Makes all amounts have an explicit Precision.
mixedAmountSetPrecisionMax :: Word8 -> MixedAmount -> MixedAmount
tests_Amount :: TestTree
instance GHC.Show.Show Hledger.Data.Amount.AmountDisplayOpts
instance GHC.Show.Show Hledger.Data.Amount.AmountDisplay
instance Data.Default.Class.Default Hledger.Data.Amount.AmountDisplayOpts
instance GHC.Num.Num Hledger.Data.Types.Amount
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.Amount
instance GHC.Base.Semigroup Hledger.Data.Types.MixedAmount
instance GHC.Base.Monoid Hledger.Data.Types.MixedAmount
instance GHC.Num.Num Hledger.Data.Types.MixedAmount
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.MixedAmount
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.Account


-- | Convert amounts to some related value in various ways. This involves
--   looking up historical market prices (exchange rates) between
--   commodities.
module Hledger.Data.Valuation

-- | Which operation to perform on conversion transactions. (There was also
--   an "infer equity postings" operation, but that is now done earlier, in
--   journal finalisation.)
data ConversionOp
NoConversionOp :: ConversionOp
ToCost :: ConversionOp

-- | What kind of value conversion should be done on amounts ? CLI:
--   --value=then|end|now|DATE[,COMM]
data ValuationType

-- | convert to default or given valuation commodity, using market prices
--   at each posting's date
AtThen :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using market prices
--   at period end(s)
AtEnd :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using current market
--   prices
AtNow :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using market prices
--   on some date
AtDate :: Day -> Maybe CommoditySymbol -> ValuationType

-- | A price oracle is a magic memoising function that efficiently looks up
--   market prices (exchange rates) from one commodity to another (or if
--   unspecified, to a default valuation commodity) on a given date.
type PriceOracle = (Day, CommoditySymbol, Maybe CommoditySymbol) -> Maybe (CommoditySymbol, Quantity)

-- | Generate a price oracle (memoising price lookup function) from a
--   journal's directive-declared and transaction-inferred market prices.
--   For best performance, generate this only once per journal, reusing it
--   across reports if there are more than one, as compoundBalanceCommand
--   does. The boolean argument is whether to infer market prices from
--   transactions or not.
journalPriceOracle :: Bool -> Journal -> PriceOracle

-- | Convert all component amounts to cost/selling price if requested, and
--   style them.
mixedAmountToCost :: Map CommoditySymbol AmountStyle -> ConversionOp -> MixedAmount -> MixedAmount

-- | Apply a specified valuation to this mixed amount, using the provided
--   price oracle, commodity styles, and reference dates. See
--   amountApplyValuation.
mixedAmountApplyValuation :: PriceOracle -> Map CommoditySymbol AmountStyle -> Day -> Day -> Day -> ValuationType -> MixedAmount -> MixedAmount

-- | Find the market value of each component amount in the given commodity,
--   or its default valuation commodity, at the given valuation date, using
--   the given market price oracle. When market prices available on that
--   date are not sufficient to calculate the value, amounts are left
--   unchanged.
mixedAmountValueAtDate :: PriceOracle -> Map CommoditySymbol AmountStyle -> Maybe CommoditySymbol -> Day -> MixedAmount -> MixedAmount

-- | Calculate the gain of each component amount, that is the difference
--   between the valued amount and the value of the cost basis (see
--   mixedAmountApplyValuation).
--   
--   If the commodity we are valuing in is not the same as the commodity of
--   the cost, this will value the cost at the same date as the primary
--   amount. This may not be what you want; for example you may want the
--   cost valued at the posting date. If so, let us know and we can change
--   this behaviour.
mixedAmountApplyGain :: PriceOracle -> Map CommoditySymbol AmountStyle -> Day -> Day -> Day -> ValuationType -> MixedAmount -> MixedAmount

-- | Calculate the gain of each component amount, that is the difference
--   between the valued amount and the value of the cost basis.
--   
--   If the commodity we are valuing in is not the same as the commodity of
--   the cost, this will value the cost at the same date as the primary
--   amount. This may not be what you want; for example you may want the
--   cost valued at the posting date. If so, let us know and we can change
--   this behaviour.
mixedAmountGainAtDate :: PriceOracle -> Map CommoditySymbol AmountStyle -> Maybe CommoditySymbol -> Day -> MixedAmount -> MixedAmount
marketPriceReverse :: MarketPrice -> MarketPrice
priceDirectiveToMarketPrice :: PriceDirective -> MarketPrice

-- | Infer a market price from the given amount and its cost (if any), and
--   make a corresponding price directive on the given date. The price's
--   display precision will be set to show all significant decimal digits;
--   or if they seem to be infinite, defaultPrecisionLimit.
amountPriceDirectiveFromCost :: Day -> Amount -> Maybe PriceDirective
valuationTypeValuationCommodity :: ValuationType -> Maybe CommoditySymbol
tests_Valuation :: TestTree
instance GHC.Classes.Eq Hledger.Data.Valuation.ConversionOp
instance GHC.Show.Show Hledger.Data.Valuation.ConversionOp
instance GHC.Classes.Eq Hledger.Data.Valuation.ValuationType
instance GHC.Show.Show Hledger.Data.Valuation.ValuationType
instance GHC.Generics.Generic Hledger.Data.Valuation.PriceGraph
instance GHC.Show.Show Hledger.Data.Valuation.PriceGraph


-- | A <a>Posting</a> represents a change (by some <a>MixedAmount</a>) of
--   the balance in some <a>Account</a>. Each <a>Transaction</a> contains
--   two or more postings which should add up to 0. Postings reference
--   their parent transaction, so we can look up the date or description
--   there.
module Hledger.Data.Posting
nullposting :: Posting
posting :: Posting

-- | Make a posting to an account.
post :: AccountName -> Amount -> Posting

-- | Make a virtual (unbalanced) posting to an account.
vpost :: AccountName -> Amount -> Posting

-- | Make a posting to an account, maybe with a balance assertion.
post' :: AccountName -> Amount -> Maybe BalanceAssertion -> Posting

-- | Make a virtual (unbalanced) posting to an account, maybe with a
--   balance assertion.
vpost' :: AccountName -> Amount -> Maybe BalanceAssertion -> Posting
nullsourcepos :: (SourcePos, SourcePos)
nullassertion :: BalanceAssertion

-- | Make a partial, exclusive balance assertion.
balassert :: Amount -> Maybe BalanceAssertion

-- | Make a total, exclusive balance assertion.
balassertTot :: Amount -> Maybe BalanceAssertion

-- | Make a partial, inclusive balance assertion.
balassertParInc :: Amount -> Maybe BalanceAssertion

-- | Make a total, inclusive balance assertion.
balassertTotInc :: Amount -> Maybe BalanceAssertion
originalPosting :: Posting -> Posting

-- | Get a posting's status. This is cleared or pending if those are
--   explicitly set on the posting, otherwise the status of its parent
--   transaction, or unmarked if there is no parent transaction. (Note the
--   ambiguity, unmarked can mean "posting and transaction are both
--   unmarked" or "posting is unmarked and don't know about the
--   transaction".
postingStatus :: Posting -> Status
isReal :: Posting -> Bool
isVirtual :: Posting -> Bool
isBalancedVirtual :: Posting -> Bool
isEmptyPosting :: Posting -> Bool
hasBalanceAssignment :: Posting -> Bool
hasAmount :: Posting -> Bool

-- | Tags for this posting including any inherited from its parent
--   transaction.
postingAllTags :: Posting -> [Tag]

-- | Tags for this transaction including any from its postings.
transactionAllTags :: Transaction -> [Tag]
relatedPostings :: Posting -> [Posting]

-- | Strip all prices from a Posting.
postingStripPrices :: Posting -> Posting

-- | Apply some account aliases to the posting's account name, as described
--   by accountNameApplyAliases. This can fail due to a bad replacement
--   pattern in a regular expression alias.
postingApplyAliases :: [AccountAlias] -> Posting -> Either RegexError Posting

-- | Find and apply the appropriate display style to the posting amounts in
--   each commodity (see journalCommodityStyles). Main amount precisions
--   may be set or not according to the styles, but cost precisions are not
--   set.

-- | <i>Deprecated: please use styleAmounts instead</i>
postingApplyCommodityStyles :: Map CommoditySymbol AmountStyle -> Posting -> Posting

-- | Like postingApplyCommodityStyles, but neither main amount precisions
--   or cost precisions are set.

-- | <i>Deprecated: please use styleAmounts instead</i>
postingStyleAmounts :: Map CommoditySymbol AmountStyle -> Posting -> Posting

-- | Add tags to a posting, discarding any for which the posting already
--   has a value.
postingAddTags :: Posting -> [Tag] -> Posting

-- | Get a posting's (primary) date - it's own primary date if specified,
--   otherwise the parent transaction's primary date, or the null date if
--   there is no parent transaction.
postingDate :: Posting -> Day

-- | Get a posting's secondary (secondary) date, which is the first of:
--   posting's secondary date, transaction's secondary date, posting's
--   primary date, transaction's primary date, or the null date if there is
--   no parent transaction.
postingDate2 :: Posting -> Day

-- | Get a posting's primary or secondary date, as specified.
postingDateOrDate2 :: WhichDate -> Posting -> Day

-- | Does this posting fall within the given date span ?
isPostingInDateSpan :: DateSpan -> Posting -> Bool
isPostingInDateSpan' :: WhichDate -> DateSpan -> Posting -> Bool

-- | Sorted unique account names referenced by these postings.
accountNamesFromPostings :: [Posting] -> [AccountName]

-- | Join two parts of a comment, eg a tag and another tag, or a tag and a
--   non-tag, on a single line. Interpolates a comma and space unless one
--   of the parts is empty.
commentJoin :: Text -> Text -> Text

-- | Add a tag to a comment, comma-separated from any prior content. A
--   space is inserted following the colon, before the value.
commentAddTag :: Text -> Tag -> Text

-- | Like commentAddTag, but omits the space after the colon.
commentAddTagUnspaced :: Text -> Tag -> Text

-- | Add a tag on its own line to a comment, preserving any prior content.
--   A space is inserted following the colon, before the value.
commentAddTagNextLine :: Text -> Tag -> Text

-- | Sum all amounts from a list of postings.
sumPostings :: [Posting] -> MixedAmount
showPosting :: Posting -> String

-- | Render a posting, at the appropriate width for aligning with its
--   siblings if any. Used by the rewrite command.
showPostingLines :: Posting -> [Text]

-- | Render one posting, on one or more lines, suitable for <a>print</a>
--   output. There will be an indented account name, plus one or more of
--   status flag, posting amount, balance assertion, same-line comment,
--   next-line comments.
--   
--   If the posting's amount is implicit or if elideamount is true, no
--   amount is shown.
--   
--   If the posting's amount is explicit and multi-commodity, multiple
--   similar postings are shown, one for each commodity, to help produce
--   parseable journal syntax. Or if onelineamounts is true, such amounts
--   are shown on one line, comma-separated (and the output will not be
--   valid journal syntax).
--   
--   If an amount is zero, any commodity symbol attached to it is shown
--   (and the corresponding commodity display style is used).
--   
--   By default, 4 spaces (2 if there's a status flag) are shown between
--   account name and start of amount area, which is typically 12 chars
--   wide and contains a right-aligned amount (so 10-12 visible spaces
--   between account name and amount is typical). When given a list of
--   postings to be aligned with, the whitespace will be increased if
--   needed to match the posting with the longest account name. This is
--   used to align the amounts of a transaction's postings.
--   
--   Also returns the account width and amount width used.
postingAsLines :: Bool -> Bool -> Int -> Int -> Posting -> ([Text], Int, Int)

-- | Given a transaction and its postings, render the postings, suitable
--   for <a>print</a> output. Normally this output will be valid journal
--   syntax which hledger can reparse (though it may include
--   no-longer-valid balance assertions).
--   
--   Explicit amounts are shown, any implicit amounts are not.
--   
--   Postings with multicommodity explicit amounts are handled as follows:
--   if onelineamounts is true, these amounts are shown on one line,
--   comma-separated, and the output will not be valid journal syntax.
--   Otherwise, they are shown as several similar postings, one per
--   commodity. When the posting has a balance assertion, it is attached to
--   the last of these postings.
--   
--   The output will appear to be a balanced transaction. Amounts' display
--   precisions, which may have been limited by commodity directives, will
--   be increased if necessary to ensure this.
--   
--   Posting amounts will be aligned with each other, starting about 4
--   columns beyond the widest account name (see postingAsLines for
--   details).
postingsAsLines :: Bool -> [Posting] -> [Text]

-- | Like postingsAsLines but generates Beancount journal format.
postingsAsLinesBeancount :: [Posting] -> [Text]

-- | Like postingAsLines but generates Beancount journal format.
postingAsLinesBeancount :: Bool -> Int -> Int -> Posting -> ([Text], Int, Int)

-- | Show an account name, clipped to the given width if any, and
--   appropriately bracketed/parenthesised for the given posting type.
showAccountName :: Maybe Int -> PostingType -> AccountName -> Text

-- | Like showAccountName for Beancount journal format. Calls
--   accountNameToBeancount first.
showAccountNameBeancount :: Maybe Int -> AccountName -> Text

-- | Render a transaction or posting's comment as indented,
--   semicolon-prefixed comment lines. The first line (unless empty) will
--   have leading space, subsequent lines will have a larger indent.
renderCommentLines :: Text -> [Text]

-- | Render a balance assertion, as the =[=][*] symbol and expected amount.
showBalanceAssertion :: BalanceAssertion -> WideBuilder

-- | Apply a transform function to this posting's amount.
postingTransformAmount :: (MixedAmount -> MixedAmount) -> Posting -> Posting

-- | Apply a specified valuation to this posting's amount, using the
--   provided price oracle, commodity styles, and reference dates. See
--   amountApplyValuation.
postingApplyValuation :: PriceOracle -> Map CommoditySymbol AmountStyle -> Day -> Day -> ValuationType -> Posting -> Posting

-- | Maybe convert this <a>Posting</a>s amount to cost.
postingToCost :: ConversionOp -> Posting -> Maybe Posting

-- | Generate inferred equity postings from a <a>Posting</a> using
--   transaction prices. Make sure not to generate equity postings when
--   there are already matched conversion postings.
postingAddInferredEquityPostings :: Bool -> Text -> Posting -> [Posting]

-- | Make a market price equivalent to this posting's amount's unit price,
--   if any.
postingPriceDirectivesFromCost :: Posting -> [PriceDirective]
tests_Posting :: TestTree
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.BalanceAssertion
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.Posting


-- | A <a>Transaction</a> represents a movement of some commodity(ies)
--   between two or more accounts. It consists of multiple account
--   <a>Posting</a>s which balance to zero, a date, and optional extras
--   like description, cleared status, and tags.
module Hledger.Data.Transaction
nulltransaction :: Transaction

-- | Make a simple transaction with the given date and postings.
transaction :: Day -> [Posting] -> Transaction

-- | Ensure a transaction's postings refer back to it, so that eg
--   relatedPostings works right.
txnTieKnot :: Transaction -> Transaction

-- | Ensure a transaction's postings do not refer back to it, so that eg
--   recursiveSize and GHCI's :sprint work right.
txnUntieKnot :: Transaction -> Transaction
hasRealPostings :: Transaction -> Bool
realPostings :: Transaction -> [Posting]
assignmentPostings :: Transaction -> [Posting]
virtualPostings :: Transaction -> [Posting]
balancedVirtualPostings :: Transaction -> [Posting]
transactionsPostings :: [Transaction] -> [Posting]

-- | Apply a transform function to this transaction's amounts.
transactionTransformPostings :: (Posting -> Posting) -> Transaction -> Transaction

-- | Apply a specified valuation to this transaction's amounts, using the
--   provided price oracle, commodity styles, and reference dates. See
--   amountApplyValuation.
transactionApplyValuation :: PriceOracle -> Map CommoditySymbol AmountStyle -> Day -> Day -> ValuationType -> Transaction -> Transaction

-- | Maybe convert this <a>Transaction</a>s amounts to cost.
transactionToCost :: ConversionOp -> Transaction -> Transaction

-- | Add inferred equity postings to a <a>Transaction</a> using transaction
--   prices.
transactionAddInferredEquityPostings :: Bool -> AccountName -> Transaction -> Transaction

-- | Add costs inferred from equity postings in this transaction. The
--   name(s) of conversion equity accounts should be provided. For every
--   adjacent pair of conversion postings, it will first search the
--   postings with costs to see if any match. If so, it will tag these as
--   matched. If no postings with costs match, it will then search the
--   postings without costs, and will match the first such posting which
--   matches one of the conversion amounts. If it finds a match, it will
--   add a cost and then tag it. If the first argument is true, do a dry
--   run instead: identify and tag the costful and conversion postings, but
--   don't add costs.
transactionInferCostsFromEquity :: Bool -> [AccountName] -> Transaction -> Either String Transaction

-- | Apply some account aliases to all posting account names in the
--   transaction, as described by accountNameApplyAliases. This can fail
--   due to a bad replacement pattern in a regular expression alias.
transactionApplyAliases :: [AccountAlias] -> Transaction -> Either RegexError Transaction

-- | Apply a transformation to a transaction's postings.
transactionMapPostings :: (Posting -> Posting) -> Transaction -> Transaction

-- | Apply a transformation to a transaction's posting amounts.
transactionMapPostingAmounts :: (MixedAmount -> MixedAmount) -> Transaction -> Transaction

-- | All posting amounts from this transactin, in order.
transactionAmounts :: Transaction -> [MixedAmount]
partitionAndCheckConversionPostings :: Bool -> [AccountName] -> [IdxPosting] -> Either Text ([(IdxPosting, IdxPosting)], ([IdxPosting], [IdxPosting]))
transactionDate2 :: Transaction -> Day
transactionDateOrDate2 :: WhichDate -> Transaction -> Day
transactionPayee :: Transaction -> Text
transactionNote :: Transaction -> Text

-- | Render a journal transaction as text similar to the style of Ledger's
--   print command.
--   
--   Adapted from Ledger 2.x and 3.x standard format:
--   
--   <pre>
--   yyyy-mm-dd[ *][ CODE] description.........          [  ; comment...............]
--       account name 1.....................  ...$amount1[  ; comment...............]
--       account name 2.....................  ..$-amount1[  ; comment...............]
--   
--   pcodewidth    = no limit -- 10          -- mimicking ledger layout.
--   pdescwidth    = no limit -- 20          -- I don't remember what these mean,
--   pacctwidth    = 35 minimum, no maximum  -- they were important at the time.
--   pamtwidth     = 11
--   pcommentwidth = no limit -- 22
--   </pre>
--   
--   The output will be parseable journal syntax. To facilitate this,
--   postings with explicit multi-commodity amounts are displayed as
--   multiple similar postings, one per commodity. (Normally does not
--   happen with this function).
showTransaction :: Transaction -> Text

-- | Like showTransaction, but explicit multi-commodity amounts are shown
--   on one line, comma-separated. In this case the output will not be
--   parseable journal syntax.
showTransactionOneLineAmounts :: Transaction -> Text
showTransactionLineFirstPart :: Transaction -> Text

-- | Like showTransaction, but generates Beancount journal format.
showTransactionBeancount :: Transaction -> Text

-- | The file path from which this transaction was parsed.
transactionFile :: Transaction -> FilePath
annotateErrorWithTransaction :: Transaction -> String -> String
tests_Transaction :: TestTree
instance Hledger.Data.Types.HasAmounts Hledger.Data.Types.Transaction


-- | A general query system for matching things (accounts, postings,
--   transactions..) by various criteria, and a SimpleTextParser for query
--   expressions.
module Hledger.Query

-- | A query is a composition of search criteria, which can be used to
--   match postings, transactions, accounts and more.
data Query

-- | negate this match
Not :: Query -> Query

-- | match if all of these match
And :: [Query] -> Query

-- | match if any of these match no-op queries
Or :: [Query] -> Query

-- | always match
Any :: Query

-- | never match data queries (in "standard" order, roughly as they appear
--   in a transaction)
None :: Query

-- | match primary dates in this date span
Date :: DateSpan -> Query

-- | match secondary dates in this date span
Date2 :: DateSpan -> Query

-- | match this txn/posting status
StatusQ :: Status -> Query

-- | match txn codes infix-matched by this regexp
Code :: Regexp -> Query

-- | match txn descriptions infix-matched by this regexp
Desc :: Regexp -> Query

-- | match if a tag's name, and optionally its value, is infix-matched by
--   the respective regexps
Tag :: Regexp -> Maybe Regexp -> Query

-- | match account names infix-matched by this regexp
Acct :: Regexp -> Query

-- | match accounts whose type is one of these (or with no types, any
--   account)
Type :: [AccountType] -> Query

-- | match if account depth is less than or equal to this value (or,
--   sometimes used as a display option)
Depth :: Int -> Query

-- | match postings with this "realness" value
Real :: Bool -> Query

-- | match if the amount's numeric quantity is less than<i>greater
--   than</i>equal to/unsignedly equal to some value
Amt :: OrdPlus -> Quantity -> Query

-- | match if the commodity symbol is fully-matched by this regexp
Sym :: Regexp -> Query

-- | A query option changes a query's/report's behaviour and output in some
--   way.
data QueryOpt

-- | show an account register focussed on this account
QueryOptInAcctOnly :: AccountName -> QueryOpt

-- | as above but include sub-accounts in the account register |
--   QueryOptCostBasis -- ^ show amounts converted to cost where possible |
--   QueryOptDate2 -- ^ show secondary dates instead of primary dates
QueryOptInAcct :: AccountName -> QueryOpt

-- | A more expressive Ord, used for amt: queries. The Abs* variants
--   compare with the absolute value of a number, ignoring sign.
data OrdPlus
Lt :: OrdPlus
LtEq :: OrdPlus
Gt :: OrdPlus
GtEq :: OrdPlus
Eq :: OrdPlus
AbsLt :: OrdPlus
AbsLtEq :: OrdPlus
AbsGt :: OrdPlus
AbsGtEq :: OrdPlus
AbsEq :: OrdPlus

-- | Construct a payee tag
payeeTag :: Maybe Text -> Either RegexError Query

-- | Construct a note tag
noteTag :: Maybe Text -> Either RegexError Query

-- | Construct a generated-transaction tag
generatedTransactionTag :: Query

-- | A version of parseQueryList which acts on a single Text of
--   space-separated terms.
--   
--   The usual shell quoting rules are assumed. When a pattern contains
--   whitespace, it (or the whole term including prefix) should be enclosed
--   in single or double quotes.
--   
--   A query term is either:
--   
--   <ol>
--   <li>a search pattern, which matches on one or more fields,
--   eg:acct:REGEXP - match the account name with a regular expression
--   desc:REGEXP - match the transaction description date:PERIODEXP - match
--   the date with a period expression</li>
--   </ol>
--   
--   The prefix indicates the field to match, or if there is no prefix
--   account name is assumed.
--   
--   <ol>
--   <li>a query option, which modifies the reporting behaviour in some
--   way. There is currently one of these, which may appear only
--   once:inacct:FULLACCTNAME</li>
--   </ol>
--   
--   Period expressions may contain relative dates, so a reference date is
--   required to fully parse these.
--   
--   <pre>
--   &gt;&gt;&gt; parseQuery nulldate "expenses:dining out"
--   Right (Or [Acct (RegexpCI "expenses:dining"),Acct (RegexpCI "out")],[])
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; parseQuery nulldate "\"expenses:dining out\""
--   Right (Acct (RegexpCI "expenses:dining out"),[])
--   </pre>
parseQuery :: Day -> Text -> Either String (Query, [QueryOpt])

-- | Convert a list of space-separated queries to a single query
--   
--   Multiple terms are combined as follows: 1. multiple account patterns
--   are OR'd together 2. multiple description patterns are OR'd together
--   3. multiple status patterns are OR'd together 4. then all terms are
--   AND'd together
parseQueryList :: Day -> [Text] -> Either String (Query, [QueryOpt])

-- | Parse a single query term as either a query or a query option, or
--   return an error message if parsing fails.
parseQueryTerm :: Day -> Text -> Either String (Query, [QueryOpt])

-- | Case-insensitively parse one single-letter code, or one long-form word
--   if permitted, to an account type. On failure, returns the unparseable
--   text.
parseAccountType :: Bool -> Text -> Either String AccountType
simplifyQuery :: Query -> Query

-- | Remove query terms (or whole sub-expressions) from this query which do
--   not match the given predicate. XXX Semantics not completely clear.
--   Also calls simplifyQuery on the result.
filterQuery :: (Query -> Bool) -> Query -> Query

-- | Remove query terms (or whole sub-expressions) from this query which
--   match neither the given predicate nor that predicate negated (eg, if
--   predicate is queryIsAcct, this will keep both "acct:" and "not:acct:"
--   terms). Also calls simplifyQuery on the result. (Since 1.24.1, might
--   be merged into filterQuery in future.) XXX Semantics not completely
--   clear.
filterQueryOrNotQuery :: (Query -> Bool) -> Query -> Query

-- | Does this simple query predicate match any part of this possibly
--   compound query ?
matchesQuery :: (Query -> Bool) -> Query -> Bool

-- | Does this query match everything ?
queryIsNull :: Query -> Bool

-- | Is this a simple query of this type (date:) ? Does not match a
--   compound query involving and<i>or</i>not. Likewise for the following
--   functions.
queryIsDate :: Query -> Bool
queryIsDate2 :: Query -> Bool
queryIsDateOrDate2 :: Query -> Bool
queryIsStatus :: Query -> Bool
queryIsCode :: Query -> Bool
queryIsDesc :: Query -> Bool
queryIsTag :: Query -> Bool
queryIsAcct :: Query -> Bool
queryIsType :: Query -> Bool
queryIsDepth :: Query -> Bool
queryIsReal :: Query -> Bool
queryIsAmt :: Query -> Bool
queryIsSym :: Query -> Bool

-- | Does this query specify a start date and nothing else (that would
--   filter postings prior to the date) ? When the flag is true, look for a
--   starting secondary date instead.
queryIsStartDateOnly :: Bool -> Query -> Bool

-- | Does this query involve a property of transactions (or their
--   postings), making it inapplicable to account declarations ?
queryIsTransactionRelated :: Query -> Bool

-- | What start date (or secondary date) does this query specify, if any ?
--   For OR expressions, use the earliest of the dates. NOT is ignored.
queryStartDate :: Bool -> Query -> Maybe Day

-- | What end date (or secondary date) does this query specify, if any ?
--   For OR expressions, use the latest of the dates. NOT is ignored.
queryEndDate :: Bool -> Query -> Maybe Day

-- | What date span (or with a true argument, what secondary date span)
--   does this query specify ? OR clauses specifying multiple spans return
--   their union (the span enclosing all of them). AND clauses specifying
--   multiple spans return their intersection. NOT clauses are ignored.
queryDateSpan :: Bool -> Query -> DateSpan

-- | What date span does this query specify, treating primary and secondary
--   dates as equivalent ? OR clauses specifying multiple spans return
--   their union (the span enclosing all of them). AND clauses specifying
--   multiple spans return their intersection. NOT clauses are ignored.
queryDateSpan' :: Query -> DateSpan

-- | The depth limit this query specifies, if it has one
queryDepth :: Query -> Maybe Int

-- | The account we are currently focussed on, if any, and whether
--   subaccounts are included. Just looks at the first query option.
inAccount :: [QueryOpt] -> Maybe (AccountName, Bool)

-- | A query for the account(s) we are currently focussed on, if any. Just
--   looks at the first query option.
inAccountQuery :: [QueryOpt] -> Maybe Query

-- | Does the match expression match this transaction ?
matchesTransaction :: Query -> Transaction -> Bool

-- | Like matchesTransaction, but if the journal's account types are
--   provided, any type: terms in the query must match at least one
--   posting's account type (and any negated type: terms must match none).
matchesTransactionExtra :: (AccountName -> Maybe AccountType) -> Query -> Transaction -> Bool

-- | Does the query match this transaction description ? Tests desc: terms,
--   any other terms are ignored.
matchesDescription :: Query -> Text -> Bool

-- | Does the query match this transaction payee ? Tests desc: (and payee:
--   ?) terms, any other terms are ignored. XXX Currently an alias for
--   matchDescription. I'm not sure if more is needed, There's some
--   shenanigan with payee: and "payeeTag" to figure out.
matchesPayeeWIP :: Query -> Payee -> Bool

-- | Does the match expression match this posting ? When matching account
--   name, and the posting has been transformed in some way, we will match
--   either the original or transformed name.
matchesPosting :: Query -> Posting -> Bool

-- | Like matchesPosting, but if the posting's account's type is provided,
--   any type: terms in the query must match it (and any negated type:
--   terms must not match it).
matchesPostingExtra :: (AccountName -> Maybe AccountType) -> Query -> Posting -> Bool

-- | Does the query match this account name ? A matching in: clause is also
--   considered a match.
matchesAccount :: Query -> AccountName -> Bool

-- | Like matchesAccount, but with optional extra matching features:
--   
--   <ul>
--   <li>If the account's type is provided, any type: terms in the query
--   must match it (and any negated type: terms must not match it).</li>
--   <li>If the account's tags are provided, any tag: terms must match at
--   least one of them (and any negated tag: terms must match none).</li>
--   </ul>
matchesAccountExtra :: (AccountName -> Maybe AccountType) -> (AccountName -> [Tag]) -> Query -> AccountName -> Bool
matchesMixedAmount :: Query -> MixedAmount -> Bool

-- | Does the match expression match this (simple) amount ?
matchesAmount :: Query -> Amount -> Bool
matchesCommodity :: Query -> CommoditySymbol -> Bool

-- | Does the query match the name and optionally the value of any of these
--   tags ?
matchesTags :: Regexp -> Maybe Regexp -> [Tag] -> Bool

-- | Does the query match this market price ?
matchesPriceDirective :: Query -> PriceDirective -> Bool

-- | Quote-and-prefix-aware version of words - don't split on spaces which
--   are inside quotes, including quotes which may have one of the
--   specified prefixes in front, and maybe an additional not: prefix in
--   front of that.
words'' :: [Text] -> Text -> [Text]
queryprefixes :: [Text]
tests_Query :: TestTree
instance GHC.Classes.Eq Hledger.Query.OrdPlus
instance GHC.Show.Show Hledger.Query.OrdPlus
instance GHC.Show.Show Hledger.Query.Query
instance GHC.Classes.Eq Hledger.Query.Query
instance GHC.Classes.Eq Hledger.Query.QueryOpt
instance GHC.Show.Show Hledger.Query.QueryOpt
instance Data.Default.Class.Default Hledger.Query.Query


-- | A <a>TransactionModifier</a> is a rule that modifies certain
--   <a>Transaction</a>s, typically adding automated postings to them.
module Hledger.Data.TransactionModifier

-- | Apply all the given transaction modifiers, in turn, to each
--   transaction. Or if any of them fails to be parsed, return the first
--   error. A reference date is provided to help interpret relative dates
--   in transaction modifier queries.
modifyTransactions :: (AccountName -> Maybe AccountType) -> (AccountName -> [Tag]) -> Map CommoditySymbol AmountStyle -> Day -> Bool -> [TransactionModifier] -> [Transaction] -> Either String [Transaction]


-- | A <a>TimeclockEntry</a> is a clock-in, clock-out, or other directive
--   in a timeclock file (see timeclock.el or the command-line version).
--   These can be converted to <tt>Transactions</tt> and queried like a
--   ledger.
module Hledger.Data.Timeclock

-- | Convert time log entries to journal transactions. When there is no
--   clockout, add one with the provided current time. Sessions crossing
--   midnight are split into days to give accurate per-day totals.
timeclockEntriesToTransactions :: LocalTime -> [TimeclockEntry] -> [Transaction]
tests_Timeclock :: TestTree
instance GHC.Show.Show Hledger.Data.Types.TimeclockEntry
instance GHC.Show.Show Hledger.Data.Types.TimeclockCode
instance GHC.Read.Read Hledger.Data.Types.TimeclockCode


-- | Helpers for making error messages.
module Hledger.Data.Errors

-- | Given an account name and its account directive, and a problem tag
--   within the latter: render it as a megaparsec-style excerpt, showing
--   the original line number and marked column or region. Returns the file
--   path, line number, column(s) if known, and the rendered excerpt, or as
--   much of these as is possible. The returned columns will be accurate
--   for the rendered error message but not for the original journal data.
makeAccountTagErrorExcerpt :: (AccountName, AccountDeclarationInfo) -> TagName -> (FilePath, Int, Maybe (Int, Maybe Int), Text)

-- | Given a problem transaction and a function calculating the best
--   column(s) for marking the error region: render it as a
--   megaparsec-style excerpt, showing the original line number on the
--   transaction line, and a column(s) marker. Returns the file path, line
--   number, column(s) if known, and the rendered excerpt, or as much of
--   these as is possible. The returned columns will be accurate for the
--   rendered error message but not for the original journal data.
makeTransactionErrorExcerpt :: Transaction -> (Transaction -> Maybe (Int, Maybe Int)) -> (FilePath, Int, Maybe (Int, Maybe Int), Text)

-- | Given a problem posting and a function calculating the best column(s)
--   for marking the error region: look up error info from the parent
--   transaction, and render the transaction as a megaparsec-style excerpt,
--   showing the original line number on the problem posting's line, and a
--   column indicator. Returns the file path, line number, column(s) if
--   known, and the rendered excerpt, or as much of these as is possible. A
--   limitation: columns will be accurate for the rendered error message
--   but not for the original journal data.
makePostingErrorExcerpt :: Posting -> (Posting -> Transaction -> Text -> Maybe (Int, Maybe Int)) -> (FilePath, Int, Maybe (Int, Maybe Int), Text)

-- | From the given posting, make an error excerpt showing the transaction
--   with this posting's account part highlighted.
makePostingAccountErrorExcerpt :: Posting -> (FilePath, Int, Maybe (Int, Maybe Int), Text)

-- | From the given posting, make an error excerpt showing the transaction
--   with the balance assertion highlighted.
makeBalanceAssertionErrorExcerpt :: Posting -> (FilePath, Int, Maybe (Int, Maybe Int), Text)

-- | Find the 1-based index of the first posting in this transaction
--   satisfying the given predicate.
transactionFindPostingIndex :: (Posting -> Bool) -> Transaction -> Maybe Int

module Hledger.Data.JournalChecks.Ordereddates
journalCheckOrdereddates :: WhichDate -> Journal -> Either String ()


-- | A <a>PeriodicTransaction</a> is a rule describing recurring
--   transactions.
module Hledger.Data.PeriodicTransaction

-- | Generate transactions from <a>PeriodicTransaction</a> within a
--   <a>DateSpan</a>. This should be a closed span with both start and end
--   dates specified; an open ended span will generate no transactions.
--   
--   Note that new transactions require <a>txnTieKnot</a> post-processing.
--   The new transactions will have three tags added: - a
--   recur:PERIODICEXPR tag whose value is the generating periodic
--   expression - a generated-transaction: tag - a hidden
--   _generated-transaction: tag which does not appear in the comment.
--   
--   <pre>
--   &gt;&gt;&gt; import Data.Time (fromGregorian)
--   
--   &gt;&gt;&gt; _ptgen "monthly from 2017/1 to 2017/4"
--   2017-01-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/4
--       a           $1.00
--   
--   2017-02-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/4
--       a           $1.00
--   
--   2017-03-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/4
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "monthly from 2017/1 to 2017/5"
--   2017-01-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-02-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-03-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-04-01
--       ; generated-transaction: ~ monthly from 2017/1 to 2017/5
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "every 2nd day of month from 2017/02 to 2017/04"
--   2017-01-02
--       ; generated-transaction: ~ every 2nd day of month from 2017/02 to 2017/04
--       a           $1.00
--   
--   2017-02-02
--       ; generated-transaction: ~ every 2nd day of month from 2017/02 to 2017/04
--       a           $1.00
--   
--   2017-03-02
--       ; generated-transaction: ~ every 2nd day of month from 2017/02 to 2017/04
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "every 30th day of month from 2017/1 to 2017/5"
--   2016-12-30
--       ; generated-transaction: ~ every 30th day of month from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-01-30
--       ; generated-transaction: ~ every 30th day of month from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-02-28
--       ; generated-transaction: ~ every 30th day of month from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-03-30
--       ; generated-transaction: ~ every 30th day of month from 2017/1 to 2017/5
--       a           $1.00
--   
--   2017-04-30
--       ; generated-transaction: ~ every 30th day of month from 2017/1 to 2017/5
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "every 2nd Thursday of month from 2017/1 to 2017/4"
--   2016-12-08
--       ; generated-transaction: ~ every 2nd Thursday of month from 2017/1 to 2017/4
--       a           $1.00
--   
--   2017-01-12
--       ; generated-transaction: ~ every 2nd Thursday of month from 2017/1 to 2017/4
--       a           $1.00
--   
--   2017-02-09
--       ; generated-transaction: ~ every 2nd Thursday of month from 2017/1 to 2017/4
--       a           $1.00
--   
--   2017-03-09
--       ; generated-transaction: ~ every 2nd Thursday of month from 2017/1 to 2017/4
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "every nov 29th from 2017 to 2019"
--   2016-11-29
--       ; generated-transaction: ~ every nov 29th from 2017 to 2019
--       a           $1.00
--   
--   2017-11-29
--       ; generated-transaction: ~ every nov 29th from 2017 to 2019
--       a           $1.00
--   
--   2018-11-29
--       ; generated-transaction: ~ every nov 29th from 2017 to 2019
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgen "2017/1"
--   2017-01-01
--       ; generated-transaction: ~ 2017/1
--       a           $1.00
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; let reportperiod="daily from 2018/01/03" in let (i,s) = parsePeriodExpr' nulldate reportperiod in runPeriodicTransaction True (nullperiodictransaction{ptperiodexpr=reportperiod, ptspan=s, ptinterval=i, ptpostings=["a" `post` usd 1]}) (DateSpan (Just $ Flex $ fromGregorian 2018 01 01) (Just $ Flex $ fromGregorian 2018 01 03))
--   []
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgenspan "every 3 months from 2019-05" (DateSpan (Just $ Flex $ fromGregorian 2020 01 01) (Just $ Flex $ fromGregorian 2020 02 01))
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; _ptgenspan "every 3 months from 2019-05" (DateSpan (Just $ Flex $ fromGregorian 2020 02 01) (Just $ Flex $ fromGregorian 2020 03 01))
--   2020-02-01
--       ; generated-transaction: ~ every 3 months from 2019-05
--       a           $1.00
--   
--   
--   &gt;&gt;&gt; _ptgenspan "every 3 days from 2018" (DateSpan (Just $ Flex $ fromGregorian 2018 01 01) (Just $ Flex $ fromGregorian 2018 01 05))
--   2018-01-01
--       ; generated-transaction: ~ every 3 days from 2018
--       a           $1.00
--   
--   2018-01-04
--       ; generated-transaction: ~ every 3 days from 2018
--       a           $1.00
--   
--   
--   &gt;&gt;&gt; _ptgenspan "every 3 days from 2018" (DateSpan (Just $ Flex $ fromGregorian 2018 01 02) (Just $ Flex $ fromGregorian 2018 01 05))
--   2018-01-04
--       ; generated-transaction: ~ every 3 days from 2018
--       a           $1.00
--   </pre>
runPeriodicTransaction :: Bool -> PeriodicTransaction -> DateSpan -> [Transaction]

-- | Check that this date span begins at a boundary of this interval, or
--   return an explanatory error message including the provided period
--   expression (from which the span and interval are derived).
checkPeriodicTransactionStartDate :: Interval -> DateSpan -> Text -> Maybe String
instance GHC.Show.Show Hledger.Data.Types.PeriodicTransaction

module Hledger.Data.Json

-- | Show a JSON-convertible haskell value as pretty-printed JSON text.
toJsonText :: ToJSON a => a -> Text

-- | Write a JSON-convertible haskell value to a pretty-printed JSON file.
--   Eg: writeJsonFile "a.json" nulltransaction
writeJsonFile :: ToJSON a => FilePath -> a -> IO ()

-- | Read a JSON file and decode it to the target type, or raise an error
--   if we can't. Eg: readJsonFile "a.json" :: IO Transaction
readJsonFile :: FromJSON a => FilePath -> IO a
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Status
instance Data.Aeson.Types.ToJSON.ToJSON Text.Megaparsec.Pos.SourcePos
instance Data.Aeson.Types.ToJSON.ToJSON Text.Megaparsec.Pos.Pos
instance (GHC.Real.Integral a, Data.Aeson.Types.ToJSON.ToJSON a) => Data.Aeson.Types.ToJSON.ToJSON (Data.Decimal.DecimalRaw a)
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Amount
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Rounding
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AmountStyle
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AmountPrecision
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Side
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.DigitGroupStyle
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.MixedAmount
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.BalanceAssertion
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AmountPrice
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.MarketPrice
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.PostingType
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Posting
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Transaction
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.TransactionModifier
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.TMPostingRule
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.PeriodicTransaction
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.PriceDirective
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.EFDay
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.DateSpan
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Interval
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Period
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AccountAlias
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AccountType
instance Data.Aeson.Types.ToJSON.ToJSONKey Hledger.Data.Types.AccountType
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.AccountDeclarationInfo
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.PayeeDeclarationInfo
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.TagDeclarationInfo
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Commodity
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.TimeclockCode
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.TimeclockEntry
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Journal
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Account
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Data.Types.Ledger
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Status
instance Data.Aeson.Types.FromJSON.FromJSON Text.Megaparsec.Pos.SourcePos
instance Data.Aeson.Types.FromJSON.FromJSON Text.Megaparsec.Pos.Pos
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Amount
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Rounding
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.AmountStyle
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.AmountPrecision
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Side
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.DigitGroupStyle
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.MixedAmount
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.BalanceAssertion
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.AmountPrice
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.MarketPrice
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.PostingType
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Posting
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Transaction
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.AccountDeclarationInfo
instance Data.Aeson.Types.FromJSON.FromJSON Hledger.Data.Types.Account
instance Data.Aeson.Types.FromJSON.FromJSON (Data.Decimal.DecimalRaw GHC.Num.Integer.Integer)


-- | A <a>Journal</a> is a set of transactions, plus optional related data.
--   This is hledger's primary data object. It is usually parsed from a
--   journal file or other data format (see <a>Hledger.Read</a>).
module Hledger.Data.Journal

-- | A parser of text that runs in some monad, keeping a Journal as state.
type JournalParser m a = StateT Journal (ParsecT HledgerParseErrorData Text m) a

-- | A parser of text that runs in some monad, keeping a Journal as state,
--   that can throw an exception to end parsing, preventing further parser
--   backtracking.
type ErroringJournalParser m a = StateT Journal (ParsecT HledgerParseErrorData Text (ExceptT FinalParseError m)) a
addPriceDirective :: PriceDirective -> Journal -> Journal
addTransactionModifier :: TransactionModifier -> Journal -> Journal
addPeriodicTransaction :: PeriodicTransaction -> Journal -> Journal
addTransaction :: Transaction -> Journal -> Journal

-- | Infer transaction-implied market prices from commodity-exchanging
--   transactions, if any. It's best to call this after transactions have
--   been balanced and posting amounts have appropriate prices attached.
journalInferMarketPricesFromTransactions :: Journal -> Journal

-- | Collect and save inferred amount styles for each commodity based on
--   the posting amounts in that commodity (excluding price amounts), ie:
--   "the format of the first amount, adjusted to the highest precision of
--   all amounts". Can return an error message eg if inconsistent number
--   formats are found.
journalInferCommodityStyles :: Journal -> Either String Journal

-- | Apply this journal's commodity display styles to all of its amounts.
--   This does no display rounding, keeping decimal digits as they were; it
--   is suitable for an early cleanup pass before calculations. Reports may
--   want to do additional rounding/styling at render time. This can return
--   an error message eg if inconsistent number formats are found.
journalStyleAmounts :: Journal -> Either String Journal

-- | Given a list of amounts, in parse order (roughly speaking; see
--   journalStyleInfluencingAmounts), build a map from their commodity
--   names to standard commodity display formats. Can return an error
--   message eg if inconsistent number formats are found.
--   
--   Though, these amounts may have come from multiple files, so we
--   shouldn't assume they use consistent number formats. Currently we
--   don't enforce that even within a single file, and this function never
--   reports an error.
commodityStylesFromAmounts :: [Amount] -> Either String (Map CommoditySymbol AmountStyle)

-- | Get the canonical amount styles for this journal, whether (in order of
--   precedence): set globally in InputOpts, declared by commodity
--   directives, declared by a default commodity (D) directive, or inferred
--   from posting amounts, as a map from symbol to style. Styles from
--   directives are assumed to specify the decimal mark.
journalCommodityStyles :: Journal -> Map CommoditySymbol AmountStyle

-- | Like journalCommodityStyles, but attach a particular rounding strategy
--   to the styles, affecting how they will affect display precisions when
--   applied.
journalCommodityStylesWith :: Rounding -> Journal -> Map CommoditySymbol AmountStyle

-- | Convert all this journal's amounts to cost using their attached
--   prices, if any.
journalToCost :: ConversionOp -> Journal -> Journal

-- | Add equity postings inferred from costs, where needed and possible.
--   See hledger manual &gt; Cost reporting.
journalInferEquityFromCosts :: Bool -> Journal -> Journal

-- | Add costs inferred from equity conversion postings, where needed and
--   possible. See hledger manual &gt; Cost reporting.
journalInferCostsFromEquity :: Journal -> Either String Journal

-- | Do just the internal tagging that is normally done by
--   journalInferCostsFromEquity, identifying equity conversion postings
--   and, in particular, postings which have redundant costs. Tagging the
--   latter is useful as it allows them to be ignored during transaction
--   balancedness checking. And that allows journalInferCostsFromEquity to
--   be postponed till after transaction balancing, when it will have more
--   information (amounts) to work with.
journalMarkRedundantCosts :: Journal -> Either String Journal

-- | Reverse all lists of parsed items, which during parsing were prepended
--   to, so that the items are in parse order. Part of post-parse
--   finalisation.
journalReverse :: Journal -> Journal

-- | Set this journal's last read time, ie when its files were last read.
journalSetLastReadTime :: POSIXTime -> Journal -> Journal

-- | Renumber all the account declarations. This is useful to call when
--   finalising or concatenating Journals, to give account declarations a
--   total order across files.
journalRenumberAccountDeclarations :: Journal -> Journal

-- | Apply the pivot transformation to all postings in a journal, replacing
--   their account name by their value for the given field or tag.
journalPivot :: Text -> Journal -> Journal

-- | Keep only transactions matching the query expression.
filterJournalTransactions :: Query -> Journal -> Journal

-- | Keep only postings matching the query expression. This can leave
--   unbalanced transactions.
filterJournalPostings :: Query -> Journal -> Journal

-- | Keep only postings which do not match the query expression, but for
--   which a related posting does. This can leave unbalanced transactions.
filterJournalRelatedPostings :: Query -> Journal -> Journal

-- | Within each posting's amount, keep only the parts matching the query,
--   and remove any postings with all amounts removed. This can leave
--   unbalanced transactions.
filterJournalAmounts :: Query -> Journal -> Journal

-- | Filter out all parts of this transaction's amounts which do not match
--   the query, and remove any postings with all amounts removed. This can
--   leave the transaction unbalanced.
filterTransactionAmounts :: Query -> Transaction -> Transaction
filterTransactionPostings :: Query -> Transaction -> Transaction
filterTransactionPostingsExtra :: (AccountName -> Maybe AccountType) -> Query -> Transaction -> Transaction
filterTransactionRelatedPostings :: Query -> Transaction -> Transaction

-- | Filter out all parts of this posting's amount which do not match the
--   query, and remove the posting if this removes all amounts.
filterPostingAmount :: Query -> Posting -> Maybe Posting

-- | Apply a transformation to a journal's transactions.
journalMapTransactions :: (Transaction -> Transaction) -> Journal -> Journal

-- | Apply a transformation to a journal's postings.
journalMapPostings :: (Posting -> Posting) -> Journal -> Journal

-- | Apply a transformation to a journal's posting amounts.
journalMapPostingAmounts :: (MixedAmount -> MixedAmount) -> Journal -> Journal

-- | Sorted unique account names posted to by this journal's transactions.
journalAccountNamesUsed :: Journal -> [AccountName]

-- | Sorted unique account names implied by this journal's transactions -
--   accounts posted to and all their implied parent accounts.
journalAccountNamesImplied :: Journal -> [AccountName]

-- | Sorted unique account names declared by account directives in this
--   journal.
journalAccountNamesDeclared :: Journal -> [AccountName]

-- | Sorted unique account names declared by account directives or posted
--   to by transactions in this journal.
journalAccountNamesDeclaredOrUsed :: Journal -> [AccountName]

-- | Sorted unique account names declared by account directives, or posted
--   to or implied as parents by transactions in this journal.
journalAccountNamesDeclaredOrImplied :: Journal -> [AccountName]

-- | Sorted unique account names declared by account directives in this
--   journal, which have no children.
journalLeafAccountNamesDeclared :: Journal -> [AccountName]

-- | Convenience/compatibility alias for
--   journalAccountNamesDeclaredOrImplied.
journalAccountNames :: Journal -> [AccountName]

-- | Sorted unique account names declared or implied in this journal which
--   have no children.
journalLeafAccountNames :: Journal -> [AccountName]
journalAccountNameTree :: Journal -> Tree AccountName

-- | Which tags have been declared explicitly for this account, if any ?
journalAccountTags :: Journal -> AccountName -> [Tag]

-- | Which tags are in effect for this account, including tags inherited
--   from parent accounts ?
journalInheritedAccountTags :: Journal -> AccountName -> [Tag]

-- | Sorted unique payees declared by payee directives in this journal.
journalPayeesDeclared :: Journal -> [Payee]

-- | Sorted unique payees used by transactions in this journal.
journalPayeesUsed :: Journal -> [Payee]

-- | Sorted unique payees used in transactions or declared by payee
--   directives in this journal.
journalPayeesDeclaredOrUsed :: Journal -> [Payee]

-- | Sorted unique tag names declared by tag directives in this journal.
journalTagsDeclared :: Journal -> [TagName]

-- | Sorted unique tag names used in this journal (in account directives,
--   transactions, postings..)
journalTagsUsed :: Journal -> [TagName]

-- | Sorted unique tag names used in transactions or declared by tag
--   directives in this journal.
journalTagsDeclaredOrUsed :: Journal -> [TagName]

-- | Sorted unique commodity symbols declared by commodity directives in
--   this journal.
journalCommoditiesDeclared :: Journal -> [CommoditySymbol]

-- | Sorted unique commodity symbols declared or inferred from this
--   journal.
journalCommodities :: Journal -> Set CommoditySymbol

-- | The fully specified exact date span enclosing the dates (primary or
--   secondary) of all this journal's transactions and postings, or
--   DateSpan Nothing Nothing if there are none.
journalDateSpan :: Bool -> Journal -> DateSpan

-- | The fully specified date span enclosing the dates (primary and
--   secondary) of all this journal's transactions and postings, or
--   DateSpan Nothing Nothing if there are none.
journalDateSpanBothDates :: Journal -> DateSpan

-- | The earliest of this journal's transaction and posting dates, or
--   Nothing if there are none.
journalStartDate :: Bool -> Journal -> Maybe Day

-- | The "exclusive end date" of this journal: the day following its latest
--   transaction or posting date, or Nothing if there are none.
journalEndDate :: Bool -> Journal -> Maybe Day

-- | The latest of this journal's transaction and posting dates, or Nothing
--   if there are none.
journalLastDay :: Bool -> Journal -> Maybe Day

-- | Unique transaction descriptions used in this journal.
journalDescriptions :: Journal -> [Text]
journalFilePath :: Journal -> FilePath
journalFilePaths :: Journal -> [FilePath]

-- | Get the transaction with this index (its 1-based position in the input
--   stream), if any.
journalTransactionAt :: Journal -> Integer -> Maybe Transaction

-- | Get the transaction that appeared immediately after this one in the
--   input stream, if any.
journalNextTransaction :: Journal -> Transaction -> Maybe Transaction

-- | Get the transaction that appeared immediately before this one in the
--   input stream, if any.
journalPrevTransaction :: Journal -> Transaction -> Maybe Transaction

-- | All postings from this journal's transactions, in order.
journalPostings :: Journal -> [Posting]

-- | All posting amounts from this journal, in order.
journalPostingAmounts :: Journal -> [MixedAmount]

-- | Show the journal amounts rendered, suitable for debug logging.
showJournalAmountsDebug :: Journal -> String

-- | Find up to N most similar and most recent transactions matching the
--   given transaction description and query and exceeding the given
--   description similarity score (0 to 1, see compareDescriptions).
--   Returns transactions along with their age in days compared to the
--   latest transaction date, their description similarity score, and a
--   heuristically date-weighted variant of this that favours more recent
--   transactions.
journalTransactionsSimilarTo :: Journal -> Text -> Query -> SimilarityScore -> Int -> [(DateWeightedSimilarityScore, Age, SimilarityScore, Transaction)]
journalAccountType :: Journal -> AccountName -> Maybe AccountType

-- | Build a map of all known account types, explicitly declared or
--   inferred from the account's parent or name.
journalAccountTypes :: Journal -> Map AccountName AccountType

-- | Add a map of all known account types to the journal.
journalAddAccountTypes :: Journal -> Journal

-- | To all postings in the journal, add any tags from their account
--   (including those inherited from parent accounts). If the same tag
--   exists on posting and account, the latter is ignored.
journalPostingsAddAccountTags :: Journal -> Journal

-- | The account to use for automatically generated conversion postings in
--   this journal: the first of the journalConversionAccounts.
journalConversionAccount :: Journal -> AccountName

-- | All the accounts declared or inferred as Conversion type in this
--   journal.
journalConversionAccounts :: Journal -> [AccountName]

-- | Given a list of amount styles (assumed to be from parsed amounts in a
--   single commodity), in parse order, choose a canonical style.
canonicalStyleFrom :: [AmountStyle] -> AmountStyle
nulljournal :: Journal

-- | Merge two journals into one. Transaction counts are summed, map fields
--   are combined, the second's list fields are appended to the first's,
--   the second's parse state is kept.
journalConcat :: Journal -> Journal -> Journal

-- | Number (set the tindex field) this journal's transactions, counting
--   upward from 1.
journalNumberTransactions :: Journal -> Journal
journalNumberAndTieTransactions :: Journal -> Journal

-- | Untie all transaction-posting knots in this journal, so that eg
--   recursiveSize and GHCI's :sprint can work on it.
journalUntieTransactions :: Transaction -> Transaction

-- | Apply any transaction modifier rules in the journal (adding automated
--   postings to transactions, eg). Or if a modifier rule fails to parse,
--   return the error message. A reference date is provided to help
--   interpret relative dates in transaction modifier queries. The first
--   argument selects whether to add visible tags to generated postings
--   &amp; modified transactions.
journalModifyTransactions :: Bool -> Day -> Journal -> Either String Journal

-- | Apply some account aliases to all posting account names in the
--   journal, as described by accountNameApplyAliases. This can fail due to
--   a bad replacement pattern in a regular expression alias.
journalApplyAliases :: [AccountAlias] -> Journal -> Either RegexError Journal

-- | Debug log the ordering of a journal's account declarations (at debug
--   level 5+).
dbgJournalAcctDeclOrder :: String -> Journal -> Journal
samplejournal :: Journal
samplejournalMaybeExplicit :: Bool -> Journal
tests_Journal :: TestTree
instance GHC.Show.Show Hledger.Data.Types.Journal
instance GHC.Base.Semigroup Hledger.Data.Types.Journal
instance Data.Default.Class.Default Hledger.Data.Types.Journal

module Hledger.Data.JournalChecks.Uniqueleafnames

-- | Check that all the journal's postings are to accounts with a unique
--   leaf name. Otherwise, return an error message for the first offending
--   posting.
journalCheckUniqueleafnames :: Journal -> Either String ()


-- | Various additional validation checks that can be performed on a
--   Journal. Some are called as part of reading a file in strict mode,
--   others can be called only via the check command.
module Hledger.Data.JournalChecks

-- | Check that all the journal's postings are to accounts with account
--   directives, returning an error message otherwise.
journalCheckAccounts :: Journal -> Either String ()

-- | Check that all the commodities used in this journal's postings have
--   been declared by commodity directives, returning an error message
--   otherwise.
journalCheckCommodities :: Journal -> Either String ()

-- | Check that all the journal's transactions have payees declared with
--   payee directives, returning an error message otherwise.
journalCheckPayees :: Journal -> Either String ()

-- | In each tranaction, check that any conversion postings occur in
--   adjacent pairs.
journalCheckPairedConversionPostings :: Journal -> Either String ()

-- | Check that accounts with balance assertions have no posting more than
--   maxlag days after their latest balance assertion. Today's date is
--   provided for error messages.
journalCheckRecentAssertions :: Day -> Journal -> Either String ()

-- | Check that all the journal's tags (on accounts, transactions,
--   postings..) have been declared with tag directives, returning an error
--   message otherwise.
journalCheckTags :: Journal -> Either String ()


-- | Functions for ensuring transactions and journals are balanced.
module Hledger.Data.Balancing
data BalancingOpts
BalancingOpts :: Bool -> Bool -> Maybe (Map CommoditySymbol AmountStyle) -> BalancingOpts

-- | should failing balance assertions be ignored ?
[ignore_assertions_] :: BalancingOpts -> Bool

-- | Are we permitted to infer missing costs to balance transactions ?
--   Distinct from InputOpts{infer_costs_}.
[infer_balancing_costs_] :: BalancingOpts -> Bool

-- | commodity display styles
[commodity_styles_] :: BalancingOpts -> Maybe (Map CommoditySymbol AmountStyle)
class HasBalancingOpts c_a4oUP
balancingOpts :: HasBalancingOpts c_a4oUP => Lens' c_a4oUP BalancingOpts
commodity_styles :: HasBalancingOpts c_a4oUP => Lens' c_a4oUP (Maybe (Map CommoditySymbol AmountStyle))
ignore_assertions :: HasBalancingOpts c_a4oUP => Lens' c_a4oUP Bool
infer_balancing_costs :: HasBalancingOpts c_a4oUP => Lens' c_a4oUP Bool
defbalancingopts :: BalancingOpts

-- | Legacy form of transactionCheckBalanced.
isTransactionBalanced :: BalancingOpts -> Transaction -> Bool

-- | Balance this transaction, ensuring that its postings (and its balanced
--   virtual postings) sum to 0, by inferring a missing amount or
--   conversion price(s) if needed. Or if balancing is not possible,
--   because the amounts don't sum to 0 or because there's more than one
--   missing amount, return an error message.
--   
--   Transactions with balance assignments can have more than one missing
--   amount; to balance those you should use the more powerful
--   journalBalanceTransactions.
--   
--   The "sum to 0" test is done using commodity display precisions, if
--   provided, so that the result agrees with the numbers users can see.
balanceTransaction :: BalancingOpts -> Transaction -> Either String Transaction

-- | Helper used by balanceTransaction and
--   balanceTransactionWithBalanceAssignmentAndCheckAssertionsB; use one of
--   those instead. It also returns a list of accounts and amounts that
--   were inferred.
balanceTransactionHelper :: BalancingOpts -> Transaction -> Either String (Transaction, [(AccountName, MixedAmount)])

-- | Infer any missing amounts and/or conversion costs (as needed to
--   balance transactions and satisfy balance assignments); and check that
--   all transactions are balanced; and (optional) check that all balance
--   assertions pass. Or, return an error message (just the first error
--   encountered).
--   
--   Assumes journalStyleAmounts has been called, since amount styles
--   affect transaction balancing.
--   
--   This does multiple things at once because amount inferring, balance
--   assignments, balance assertions and posting dates are interdependent.
journalBalanceTransactions :: BalancingOpts -> Journal -> Either String Journal

-- | Check any balance assertions in the journal and return an error
--   message if any of them fail (or if the transaction balancing they
--   require fails).
journalCheckBalanceAssertions :: Journal -> Maybe String
tests_Balancing :: TestTree
instance Hledger.Data.Balancing.HasBalancingOpts Hledger.Data.Balancing.BalancingOpts
instance GHC.Show.Show Hledger.Data.Balancing.BalancingOpts


-- | Various options to use when reading journal files. Similar to
--   CliOptions.inputflags, simplifies the journal-reading functions.
module Hledger.Read.InputOptions
data InputOpts
InputOpts :: Maybe StorageFormat -> Maybe FilePath -> [String] -> Bool -> Bool -> Bool -> String -> Maybe DateSpan -> Bool -> DateSpan -> Bool -> Bool -> Bool -> BalancingOpts -> Bool -> Day -> InputOpts

-- | a file/storage format to try, unless overridden by a filename prefix.
--   Nothing means try all.
[mformat_] :: InputOpts -> Maybe StorageFormat

-- | a conversion rules file to use (when reading CSV)
[mrules_file_] :: InputOpts -> Maybe FilePath

-- | account name aliases to apply
[aliases_] :: InputOpts -> [String]

-- | do light obfuscation of the data. Now corresponds to --obfuscate, not
--   the old --anon flag.
[anon_] :: InputOpts -> Bool

-- | read only new transactions since this file was last read
[new_] :: InputOpts -> Bool

-- | save latest new transactions state for next time
[new_save_] :: InputOpts -> Bool

-- | use the given field's value as the account name
[pivot_] :: InputOpts -> String

-- | span in which to generate forecast transactions
[forecast_] :: InputOpts -> Maybe DateSpan

-- | add user-visible tags when generating/modifying transactions &amp;
--   postings ?
[verbose_tags_] :: InputOpts -> Bool

-- | a dirty hack keeping the query dates in InputOpts. This rightfully
--   lives in ReportSpec, but is duplicated here.
[reportspan_] :: InputOpts -> DateSpan

-- | generate automatic postings when journal is parsed ?
[auto_] :: InputOpts -> Bool

-- | infer equity conversion postings from costs ?
[infer_equity_] :: InputOpts -> Bool

-- | infer costs from equity conversion postings ? distinct from
--   BalancingOpts{infer_balancing_costs_}
[infer_costs_] :: InputOpts -> Bool

-- | options for balancing transactions
[balancingopts_] :: InputOpts -> BalancingOpts

-- | do extra error checking (eg, all posted accounts are declared, no
--   prices are inferred)
[strict_] :: InputOpts -> Bool

-- | today's date, for use with forecast transactions XXX this duplicates
--   _rsDay, and should eventually be removed when it's not needed anymore.
[_ioDay] :: InputOpts -> Day
class HasInputOpts c_a4GcG
inputOpts :: HasInputOpts c_a4GcG => Lens' c_a4GcG InputOpts
aliases :: HasInputOpts c_a4GcG => Lens' c_a4GcG [String]
anon__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
auto__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
balancingopts :: HasInputOpts c_a4GcG => Lens' c_a4GcG BalancingOpts
forecast :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe DateSpan)
infer_costs :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
infer_equity :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
ioDay :: HasInputOpts c_a4GcG => Lens' c_a4GcG Day
mformat :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe StorageFormat)
mrules_file :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe FilePath)
new__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
new_save :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
pivot :: HasInputOpts c_a4GcG => Lens' c_a4GcG String
reportspan :: HasInputOpts c_a4GcG => Lens' c_a4GcG DateSpan
strict :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
verbose_tags :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
definputopts :: InputOpts

-- | Get the Maybe the DateSpan to generate forecast options from. This
--   begins on: - the start date supplied to the `--forecast` argument, if
--   present - otherwise, the later of - the report start date if specified
--   with -b<i>-p</i>date: - the day after the latest normal (non-periodic)
--   transaction in the journal, if any - otherwise today. It ends on: -
--   the end date supplied to the `--forecast` argument, if present -
--   otherwise the report end date if specified with -e<i>-p</i>date: -
--   otherwise 180 days (6 months) from today.
forecastPeriod :: InputOpts -> Journal -> Maybe DateSpan
instance Hledger.Read.InputOptions.HasInputOpts Hledger.Read.InputOptions.InputOpts
instance Hledger.Data.Balancing.HasBalancingOpts Hledger.Read.InputOptions.InputOpts
instance GHC.Show.Show Hledger.Read.InputOptions.InputOpts


-- | An <a>Account</a> has a name, a list of subaccounts, an optional
--   parent account, and subaccounting-excluding and -including balances.
module Hledger.Data.Account
nullacct :: Account

-- | Derive 1. an account tree and 2. each account's total exclusive and
--   inclusive changes from a list of postings. This is the core of the
--   balance command (and of *ledger). The accounts are returned as a list
--   in flattened tree order, and also reference each other as a tree. (The
--   first account is the root of the tree.)
accountsFromPostings :: [Posting] -> [Account]

-- | Convert a list of account names to a tree of Account objects, with
--   just the account names filled in. A single root account with the given
--   name is added.
accountTree :: AccountName -> [AccountName] -> Account
showAccounts :: Account -> String
showAccountsBoringFlag :: Account -> String
printAccounts :: Account -> IO ()

-- | Search an account list by name.
lookupAccount :: AccountName -> [Account] -> Maybe Account

-- | Get this account's parent accounts, from the nearest up to the root.
parentAccounts :: Account -> [Account]

-- | List the accounts at each level of the account tree.
accountsLevels :: Account -> [[Account]]

-- | Map a (non-tree-structure-modifying) function over this and sub
--   accounts.
mapAccounts :: (Account -> Account) -> Account -> Account

-- | Is the predicate true on any of this account or its subaccounts ?
anyAccounts :: (Account -> Bool) -> Account -> Bool

-- | Filter an account tree (to a list).
filterAccounts :: (Account -> Bool) -> Account -> [Account]

-- | Add subaccount-inclusive balances to an account tree.
sumAccounts :: Account -> Account

-- | Remove all subaccounts below a certain depth.
clipAccounts :: Int -> Account -> Account

-- | Remove subaccounts below the specified depth, aggregating their
--   balance at the depth limit (accounts at the depth limit will have any
--   sub-balances merged into their exclusive balance). If the depth is
--   Nothing, return the original accounts
clipAccountsAndAggregate :: Maybe Int -> [Account] -> [Account]

-- | Remove all leaf accounts and subtrees matching a predicate.
pruneAccounts :: (Account -> Bool) -> Account -> Maybe Account

-- | Flatten an account tree into a list, which is sometimes convenient.
--   Note since accounts link to their parents/subs, the tree's structure
--   remains intact and can still be used. It's a tree/list!
flattenAccounts :: Account -> [Account]

-- | Add extra info for this account derived from the Journal's account
--   directives, if any (comment, tags, declaration order..).
accountSetDeclarationInfo :: Journal -> Account -> Account

-- | Sort account names by the order in which they were declared in the
--   journal, at each level of the account tree (ie within each group of
--   siblings). Undeclared accounts are sorted last and alphabetically.
--   This is hledger's default sort for reports organised by account. The
--   account list is converted to a tree temporarily, adding any missing
--   parents; these can be kept (suitable for a tree-mode report) or
--   removed (suitable for a flat-mode report).
sortAccountNamesByDeclaration :: Journal -> Bool -> [AccountName] -> [AccountName]

-- | Sort each group of siblings in an account tree by inclusive amount, so
--   that the accounts with largest normal balances are listed first. The
--   provided normal balance sign determines whether normal balances are
--   negative or positive, affecting the sort order. Ie, if balances are
--   normally negative, then the most negative balances sort first, and
--   vice versa.
sortAccountTreeByAmount :: NormalSign -> Account -> Account
instance GHC.Classes.Ord a => GHC.Classes.Ord (Hledger.Data.Account.FastTree a)
instance GHC.Classes.Eq a => GHC.Classes.Eq (Hledger.Data.Account.FastTree a)
instance GHC.Show.Show a => GHC.Show.Show (Hledger.Data.Account.FastTree a)
instance GHC.Show.Show Hledger.Data.Types.Account
instance GHC.Classes.Eq Hledger.Data.Types.Account


-- | A <a>Ledger</a> is derived from a <a>Journal</a> by applying a filter
--   specification to select <a>Transaction</a>s and <a>Posting</a>s of
--   interest. It contains the filtered journal and knows the resulting
--   chart of accounts, account balances, and postings in each account.
module Hledger.Data.Ledger
nullledger :: Ledger

-- | Filter a journal's transactions with the given query, then build a
--   <a>Ledger</a>, containing the journal plus the tree of all its
--   accounts with their subaccount-inclusive and subaccount-exclusive
--   balances. If the query includes a depth limit, the ledger's journal
--   will be depth limited, but the ledger's account tree will not.
ledgerFromJournal :: Query -> Journal -> Ledger

-- | List a ledger's account names.
ledgerAccountNames :: Ledger -> [AccountName]

-- | Get the named account from a ledger.
ledgerAccount :: Ledger -> AccountName -> Maybe Account

-- | Get this ledger's root account, which is a dummy "root" account above
--   all others. This should always be first in the account list, if
--   somehow not this returns a null account.
ledgerRootAccount :: Ledger -> Account

-- | List a ledger's top-level accounts (the ones below the root), in tree
--   order.
ledgerTopAccounts :: Ledger -> [Account]

-- | List a ledger's bottom-level (subaccount-less) accounts, in tree
--   order.
ledgerLeafAccounts :: Ledger -> [Account]

-- | List a ledger's postings, in the order parsed.
ledgerPostings :: Ledger -> [Posting]

-- | The (fully specified) date span containing all the ledger's (filtered)
--   transactions, or DateSpan Nothing Nothing if there are none.
ledgerDateSpan :: Ledger -> DateSpan

-- | All commodities used in this ledger.
ledgerCommodities :: Ledger -> [CommoditySymbol]
tests_Ledger :: TestTree
instance GHC.Show.Show Hledger.Data.Types.Ledger


-- | The Hledger.Data library allows parsing and querying of C++
--   ledger-style journal files. It generally provides a compatible subset
--   of C++ ledger's functionality. This package re-exports all the
--   Hledger.Data.* modules (except UTF8, which requires an explicit
--   import.)
module Hledger.Data

-- | An account, with its balances, parent/subaccount relationships, etc.
--   Only the name is required; the other fields are added when needed.
data Account
Account :: AccountName -> Maybe AccountDeclarationInfo -> [Account] -> Maybe Account -> Bool -> Int -> MixedAmount -> MixedAmount -> Account

-- | this account's full name
[aname] :: Account -> AccountName

-- | optional extra info from account directives relationships in the tree
[adeclarationinfo] :: Account -> Maybe AccountDeclarationInfo

-- | this account's sub-accounts
[asubs] :: Account -> [Account]

-- | parent account
[aparent] :: Account -> Maybe Account

-- | used in the accounts report to label elidable parents balance
--   information
[aboring] :: Account -> Bool

-- | the number of postings to this account
[anumpostings] :: Account -> Int

-- | this account's balance, excluding subaccounts
[aebalance] :: Account -> MixedAmount

-- | this account's balance, including subaccounts
[aibalance] :: Account -> MixedAmount
type AccountName = Text
data Amount
Amount :: !CommoditySymbol -> !Quantity -> !AmountStyle -> !Maybe AmountPrice -> Amount
[acommodity] :: Amount -> !CommoditySymbol
[aquantity] :: Amount -> !Quantity
[astyle] :: Amount -> !AmountStyle

-- | the (fixed, transaction-specific) price for this amount, if any
[aprice] :: Amount -> !Maybe AmountPrice

-- | A Journal, containing transactions and various other things. The basic
--   data model for hledger.
--   
--   This is used during parsing (as the type alias ParsedJournal), and
--   then finalised/validated for use as a Journal. Some extra
--   parsing-related fields are included for convenience, at least for now.
--   In a ParsedJournal these are updated as parsing proceeds, in a Journal
--   they represent the final state at end of parsing (used eg by the add
--   command).
data Journal
Journal :: Maybe Year -> Maybe (CommoditySymbol, AmountStyle) -> Maybe DecimalMark -> [AccountName] -> [AccountAlias] -> [TimeclockEntry] -> [FilePath] -> [(Payee, PayeeDeclarationInfo)] -> [(TagName, TagDeclarationInfo)] -> [(AccountName, AccountDeclarationInfo)] -> Map AccountName [Tag] -> Map AccountType [AccountName] -> Map AccountName AccountType -> Map CommoditySymbol AmountStyle -> Map CommoditySymbol Commodity -> Map CommoditySymbol AmountStyle -> [PriceDirective] -> [MarketPrice] -> [TransactionModifier] -> [PeriodicTransaction] -> [Transaction] -> Text -> [(FilePath, Text)] -> POSIXTime -> Journal

-- | the current default year, specified by the most recent Y directive (or
--   current date)
[jparsedefaultyear] :: Journal -> Maybe Year

-- | the current default commodity and its format, specified by the most
--   recent D directive
[jparsedefaultcommodity] :: Journal -> Maybe (CommoditySymbol, AmountStyle)

-- | the character to always parse as decimal point, if set by CsvReader's
--   decimal-mark (or a future journal directive)
[jparsedecimalmark] :: Journal -> Maybe DecimalMark

-- | the current stack of parent account names, specified by apply account
--   directives
[jparseparentaccounts] :: Journal -> [AccountName]

-- | the current account name aliases in effect, specified by alias
--   directives (&amp; options ?) ,jparsetransactioncount :: Integer -- ^
--   the current count of transactions parsed so far (only journal format
--   txns, currently)
[jparsealiases] :: Journal -> [AccountAlias]

-- | timeclock sessions which have not been clocked out
[jparsetimeclockentries] :: Journal -> [TimeclockEntry]
[jincludefilestack] :: Journal -> [FilePath]

-- | Payees declared by payee directives, in parse order (after journal
--   finalisation)
[jdeclaredpayees] :: Journal -> [(Payee, PayeeDeclarationInfo)]

-- | Tags declared by tag directives, in parse order (after journal
--   finalisation)
[jdeclaredtags] :: Journal -> [(TagName, TagDeclarationInfo)]

-- | Accounts declared by account directives, in parse order (after journal
--   finalisation)
[jdeclaredaccounts] :: Journal -> [(AccountName, AccountDeclarationInfo)]

-- | Accounts which have tags declared in their directives, and those tags.
--   (Does not include parents' tags.)
[jdeclaredaccounttags] :: Journal -> Map AccountName [Tag]

-- | Accounts whose type has been explicitly declared in their account
--   directives, grouped by type.
[jdeclaredaccounttypes] :: Journal -> Map AccountType [AccountName]

-- | All accounts for which a type has been declared or can be inferred
--   from its parent or its name.
[jaccounttypes] :: Journal -> Map AccountName AccountType

-- | per-commodity display styles declared globally, eg by command line
--   option or import command
[jglobalcommoditystyles] :: Journal -> Map CommoditySymbol AmountStyle

-- | commodities and formats declared by commodity directives
[jcommodities] :: Journal -> Map CommoditySymbol Commodity

-- | commodities and formats inferred from journal amounts
[jinferredcommodities] :: Journal -> Map CommoditySymbol AmountStyle

-- | Declarations of market prices by P directives, in parse order (after
--   journal finalisation)
[jpricedirectives] :: Journal -> [PriceDirective]

-- | Market prices implied by transactions, in parse order (after journal
--   finalisation)
[jinferredmarketprices] :: Journal -> [MarketPrice]
[jtxnmodifiers] :: Journal -> [TransactionModifier]
[jperiodictxns] :: Journal -> [PeriodicTransaction]
[jtxns] :: Journal -> [Transaction]

-- | any final trailing comments in the (main) journal file
[jfinalcommentlines] :: Journal -> Text

-- | the file path and raw text of the main and any included journal files.
--   The main file is first, followed by any included files in the order
--   encountered. TODO: FilePath is a sloppy type here, don't assume it's a
--   real file; values like "", "-", "(string)" can be seen
[jfiles] :: Journal -> [(FilePath, Text)]

-- | when this journal was last read from its file(s) NOTE: after adding
--   new fields, eg involving account names, consider updating the Anon
--   instance in Hleger.Cli.Anon
[jlastreadtime] :: Journal -> POSIXTime

-- | A Ledger has the journal it derives from, and the accounts derived
--   from that. Accounts are accessible both list-wise and tree-wise, since
--   each one knows its parent and subs; the first account is the root of
--   the tree and always exists.
data Ledger
Ledger :: Journal -> [Account] -> Ledger
[ljournal] :: Ledger -> Journal
[laccounts] :: Ledger -> [Account]
data Period
DayPeriod :: Day -> Period
WeekPeriod :: Day -> Period
MonthPeriod :: Year -> Month -> Period
QuarterPeriod :: Year -> Quarter -> Period
YearPeriod :: Year -> Period
PeriodBetween :: Day -> Day -> Period
PeriodFrom :: Day -> Period
PeriodTo :: Day -> Period
PeriodAll :: Period

-- | A periodic transaction rule, describing a transaction that recurs.
data PeriodicTransaction
PeriodicTransaction :: Text -> Interval -> DateSpan -> (SourcePos, SourcePos) -> Status -> Text -> Text -> Text -> [Tag] -> [Posting] -> PeriodicTransaction

-- | the period expression as written
[ptperiodexpr] :: PeriodicTransaction -> Text

-- | the interval at which this transaction recurs
[ptinterval] :: PeriodicTransaction -> Interval

-- | the (possibly unbounded) period during which this transaction recurs.
--   Contains a whole number of intervals.
[ptspan] :: PeriodicTransaction -> DateSpan

-- | the file position where the period expression starts, and where the
--   last posting ends
[ptsourcepos] :: PeriodicTransaction -> (SourcePos, SourcePos)

-- | some of Transaction's fields
[ptstatus] :: PeriodicTransaction -> Status
[ptcode] :: PeriodicTransaction -> Text
[ptdescription] :: PeriodicTransaction -> Text
[ptcomment] :: PeriodicTransaction -> Text
[pttags] :: PeriodicTransaction -> [Tag]
[ptpostings] :: PeriodicTransaction -> [Posting]
data Posting
Posting :: Maybe Day -> Maybe Day -> Status -> AccountName -> MixedAmount -> Text -> PostingType -> [Tag] -> Maybe BalanceAssertion -> Maybe Transaction -> Maybe Posting -> Posting

-- | this posting's date, if different from the transaction's
[pdate] :: Posting -> Maybe Day

-- | this posting's secondary date, if different from the transaction's
[pdate2] :: Posting -> Maybe Day
[pstatus] :: Posting -> Status
[paccount] :: Posting -> AccountName
[pamount] :: Posting -> MixedAmount

-- | this posting's comment lines, as a single non-indented multi-line
--   string
[pcomment] :: Posting -> Text
[ptype] :: Posting -> PostingType

-- | tag names and values, extracted from the posting comment and (after
--   finalisation) the posting account's directive if any
[ptags] :: Posting -> [Tag]

-- | an expected balance in the account after this posting, in a single
--   commodity, excluding subaccounts.
[pbalanceassertion] :: Posting -> Maybe BalanceAssertion

-- | this posting's parent transaction (co-recursive types). Tying this
--   knot gets tedious, Maybe makes it easier/optional.
[ptransaction] :: Posting -> Maybe Transaction

-- | When this posting has been transformed in some way (eg its amount or
--   price was inferred, or the account name was changed by a pivot or
--   budget report), this references the original untransformed posting
--   (which will have Nothing in this field).
[poriginal] :: Posting -> Maybe Posting
data Transaction
Transaction :: Integer -> Text -> (SourcePos, SourcePos) -> Day -> Maybe Day -> Status -> Text -> Text -> Text -> [Tag] -> [Posting] -> Transaction

-- | this transaction's 1-based position in the transaction stream, or 0
--   when not available
[tindex] :: Transaction -> Integer

-- | any comment lines immediately preceding this transaction
[tprecedingcomment] :: Transaction -> Text

-- | the file position where the date starts, and where the last posting
--   ends
[tsourcepos] :: Transaction -> (SourcePos, SourcePos)
[tdate] :: Transaction -> Day
[tdate2] :: Transaction -> Maybe Day
[tstatus] :: Transaction -> Status
[tcode] :: Transaction -> Text
[tdescription] :: Transaction -> Text

-- | this transaction's comment lines, as a single non-indented multi-line
--   string
[tcomment] :: Transaction -> Text

-- | tag names and values, extracted from the comment
[ttags] :: Transaction -> [Tag]

-- | this transaction's postings
[tpostings] :: Transaction -> [Posting]

-- | A transaction modifier rule. This has a query which matches postings
--   in the journal, and a list of transformations to apply to those
--   postings or their transactions. Currently there is one kind of
--   transformation: the TMPostingRule, which adds a posting ("auto
--   posting") to the transaction, optionally setting its amount to the
--   matched posting's amount multiplied by a constant.
data TransactionModifier
TransactionModifier :: Text -> [TMPostingRule] -> TransactionModifier
[tmquerytxt] :: TransactionModifier -> Text
[tmpostingrules] :: TransactionModifier -> [TMPostingRule]
type MonthDay = Int
type Year = Integer
type Month = Int
type YearDay = Int
type Quarter = Int
type Tag = -- | A tag name and (possibly empty) value. (TagName, TagValue)
type YearWeek = Int
type MonthWeek = Int
type WeekDay = Int

-- | A possibly incomplete year-month-day date provided by the user, to be
--   interpreted as either a date or a date span depending on context.
--   Missing parts "on the left" will be filled from the provided reference
--   date, e.g. if the year and month are missing, the reference date's
--   year and month are used. Missing parts "on the right" are assumed,
--   when interpreting as a date, to be 1, (e.g. if the year and month are
--   present but the day is missing, it means first day of that month); or
--   when interpreting as a date span, to be a wildcard (so it would mean
--   all days of that month). See the <tt>smartdate</tt> parser for more
--   examples.
--   
--   Or, one of the standard periods and an offset relative to the
--   reference date: (last|this|next) (day|week|month|quarter|year), where
--   "this" means the period containing the reference date.
data SmartDate
SmartCompleteDate :: Day -> SmartDate
SmartAssumeStart :: Year -> Maybe Month -> SmartDate
SmartFromReference :: Maybe Month -> MonthDay -> SmartDate
SmartMonth :: Month -> SmartDate
SmartRelative :: Integer -> SmartInterval -> SmartDate
data SmartInterval
Day :: SmartInterval
Week :: SmartInterval
Month :: SmartInterval
Quarter :: SmartInterval
Year :: SmartInterval
data WhichDate
PrimaryDate :: WhichDate
SecondaryDate :: WhichDate

-- | A date which is either exact or flexible. Flexible dates are allowed
--   to be adjusted in certain situations.
data EFDay
Exact :: Day -> EFDay
Flex :: Day -> EFDay

-- | A possibly open-ended span of time, from an optional inclusive start
--   date to an optional exclusive end date. Each date can be either exact
--   or flexible. An "exact date span" is a Datepan with exact start and
--   end dates.
data DateSpan
DateSpan :: Maybe EFDay -> Maybe EFDay -> DateSpan
data Interval
NoInterval :: Interval
Days :: Int -> Interval
Weeks :: Int -> Interval
Months :: Int -> Interval
Quarters :: Int -> Interval
Years :: Int -> Interval
DayOfMonth :: Int -> Interval
WeekdayOfMonth :: Int -> Int -> Interval
DaysOfWeek :: [Int] -> Interval
DayOfYear :: Int -> Int -> Interval
type Payee = Text
data AccountType
Asset :: AccountType
Liability :: AccountType
Equity :: AccountType
Revenue :: AccountType
Expense :: AccountType

-- | a subtype of Asset - liquid assets to show in cashflow report
Cash :: AccountType

-- | a subtype of Equity - account in which to generate conversion postings
--   for transaction prices
Conversion :: AccountType
data AccountAlias
BasicAlias :: AccountName -> AccountName -> AccountAlias
RegexAlias :: Regexp -> Replacement -> AccountAlias
data Side
L :: Side
R :: Side

-- | One of the decimal marks we support: either period or comma.
type DecimalMark = Char

-- | The basic numeric type used in amounts.
type Quantity = Decimal

-- | An amount's per-unit or total cost/selling price in another commodity,
--   as recorded in the journal entry eg with <tt> or </tt>@. <a>Cost</a>,
--   formerly AKA "transaction price". The amount is always positive.
data AmountPrice
UnitPrice :: !Amount -> AmountPrice
TotalPrice :: !Amount -> AmountPrice

-- | Every Amount has one of these, influencing how the amount is
--   displayed. Also, each Commodity can have one, which can be applied to
--   its amounts for consistent display. See also Amount.AmountDisplayOpts.
data AmountStyle
AmountStyle :: !Side -> !Bool -> !Maybe DigitGroupStyle -> !Maybe Char -> !AmountPrecision -> !Rounding -> AmountStyle

-- | show the symbol on the left or the right ?
[ascommodityside] :: AmountStyle -> !Side

-- | show a space between symbol and quantity ?
[ascommodityspaced] :: AmountStyle -> !Bool

-- | show the integer part with these digit group marks, or not
[asdigitgroups] :: AmountStyle -> !Maybe DigitGroupStyle

-- | show this character (should be . or ,) as decimal mark, or use the
--   default (.)
[asdecimalmark] :: AmountStyle -> !Maybe Char

-- | "display precision" - show this number of digits after the decimal
--   point
[asprecision] :: AmountStyle -> !AmountPrecision

-- | "rounding strategy" - kept here for convenience, for now: when
--   displaying an amount, it is ignored, but when applying this style to
--   another amount, it determines how hard we should try to adjust the
--   amount's display precision.
[asrounding] :: AmountStyle -> !Rounding

-- | A style for displaying digit groups in the integer part of a floating
--   point number. It consists of the character used to separate groups
--   (comma or period, whichever is not used as decimal point), and the
--   size of each group, starting with the one nearest the decimal point.
--   The last group size is assumed to repeat. Eg, comma between thousands
--   is DigitGroups ',' [3].
data DigitGroupStyle
DigitGroups :: !Char -> ![Word8] -> DigitGroupStyle

-- | The "display precision" for a hledger amount, by which we mean the
--   number of decimal digits to display to the right of the decimal mark.
data AmountPrecision

-- | show this many decimal digits (0..255)
Precision :: !Word8 -> AmountPrecision

-- | show all significant decimal digits stored internally
NaturalPrecision :: AmountPrecision

-- | "Rounding strategy" - how to apply an AmountStyle's display precision
--   to a posting amount (and its cost, if any). Mainly used to customise
--   print's output, with --round=none|soft|hard|all.
data Rounding

-- | keep display precisions unchanged in amt and cost
NoRounding :: Rounding

-- | do soft rounding of amt and cost amounts (show more or fewer decimal
--   zeros to approximate the target precision, but don't hide significant
--   digits)
SoftRounding :: Rounding

-- | do hard rounding of amt (use the exact target precision, possibly
--   hiding significant digits), and soft rounding of cost
HardRounding :: Rounding

-- | do hard rounding of amt and cost
AllRounding :: Rounding
type CommoditySymbol = Text
data Commodity
Commodity :: CommoditySymbol -> Maybe AmountStyle -> Commodity
[csymbol] :: Commodity -> CommoditySymbol
[cformat] :: Commodity -> Maybe AmountStyle

-- | Types with this class have one or more amounts, which can have display
--   styles applied to them.
class HasAmounts a
styleAmounts :: HasAmounts a => Map CommoditySymbol AmountStyle -> a -> a
data MixedAmount
data PostingType
RegularPosting :: PostingType
VirtualPosting :: PostingType
BalancedVirtualPosting :: PostingType
type TagName = Text
type TagValue = Text
type DateTag = (TagName, Day)

-- | The status of a transaction or posting, recorded with a status mark
--   (nothing, !, or *). What these mean is ultimately user defined.
data Status
Unmarked :: Status
Pending :: Status
Cleared :: Status

-- | A balance assertion is a declaration about an account's expected
--   balance at a certain point (posting date and parse order). They
--   provide additional error checking and readability to a journal file.
--   
--   A balance assignments is an instruction to hledger to adjust an
--   account's balance to a certain amount at a certain point.
--   
--   The <a>BalanceAssertion</a> type is used for representing both of
--   these.
--   
--   hledger supports multiple kinds of balance assertions/assignments,
--   which differ in whether they refer to a single commodity or all
--   commodities, and the (subaccount-)inclusive or exclusive account
--   balance.
data BalanceAssertion
BalanceAssertion :: Amount -> Bool -> Bool -> SourcePos -> BalanceAssertion

-- | the expected balance in a particular commodity
[baamount] :: BalanceAssertion -> Amount

-- | disallow additional non-asserted commodities ?
[batotal] :: BalanceAssertion -> Bool

-- | include subaccounts when calculating the actual balance ?
[bainclusive] :: BalanceAssertion -> Bool

-- | the assertion's file position, for error reporting
[baposition] :: BalanceAssertion -> SourcePos

-- | A transaction modifier transformation, which adds an extra posting to
--   the matched posting's transaction. Can be like a regular posting, or
--   can have the tmprIsMultiplier flag set, indicating that it's a
--   multiplier for the matched posting's amount.
data TMPostingRule
TMPostingRule :: Posting -> Bool -> TMPostingRule
[tmprPosting] :: TMPostingRule -> Posting
[tmprIsMultiplier] :: TMPostingRule -> Bool
data TimeclockCode
SetBalance :: TimeclockCode
SetRequiredHours :: TimeclockCode
In :: TimeclockCode
Out :: TimeclockCode
FinalOut :: TimeclockCode
data TimeclockEntry
TimeclockEntry :: SourcePos -> TimeclockCode -> LocalTime -> AccountName -> Text -> Text -> [Tag] -> TimeclockEntry
[tlsourcepos] :: TimeclockEntry -> SourcePos
[tlcode] :: TimeclockEntry -> TimeclockCode
[tldatetime] :: TimeclockEntry -> LocalTime
[tlaccount] :: TimeclockEntry -> AccountName
[tldescription] :: TimeclockEntry -> Text
[tlcomment] :: TimeclockEntry -> Text
[tltags] :: TimeclockEntry -> [Tag]

-- | A market price declaration made by the journal format's P directive.
--   It declares two things: a historical exchange rate between two
--   commodities, and an amount display style for the second commodity.
data PriceDirective
PriceDirective :: Day -> CommoditySymbol -> Amount -> PriceDirective
[pddate] :: PriceDirective -> Day
[pdcommodity] :: PriceDirective -> CommoditySymbol
[pdamount] :: PriceDirective -> Amount

-- | A historical market price (exchange rate) from one commodity to
--   another. A more concise form of a PriceDirective, without the amount
--   display info.
data MarketPrice
MarketPrice :: Day -> CommoditySymbol -> CommoditySymbol -> Quantity -> MarketPrice

-- | Date on which this price becomes effective.
[mpdate] :: MarketPrice -> Day

-- | The commodity being converted from.
[mpfrom] :: MarketPrice -> CommoditySymbol

-- | The commodity being converted to.
[mpto] :: MarketPrice -> CommoditySymbol

-- | One unit of the "from" commodity is worth this quantity of the "to"
--   commodity.
[mprate] :: MarketPrice -> Quantity

-- | Extra information found in a payee directive.
data PayeeDeclarationInfo
PayeeDeclarationInfo :: Text -> [Tag] -> PayeeDeclarationInfo

-- | any comment lines following the payee directive
[pdicomment] :: PayeeDeclarationInfo -> Text

-- | tags extracted from the comment, if any
[pditags] :: PayeeDeclarationInfo -> [Tag]

-- | Extra information found in a tag directive.
newtype TagDeclarationInfo
TagDeclarationInfo :: Text -> TagDeclarationInfo

-- | any comment lines following the tag directive. No tags allowed here.
[tdicomment] :: TagDeclarationInfo -> Text

-- | Extra information about an account that can be derived from its
--   account directive (and the other account directives).
data AccountDeclarationInfo
AccountDeclarationInfo :: Text -> [Tag] -> Int -> SourcePos -> AccountDeclarationInfo

-- | any comment lines following an account directive for this account
[adicomment] :: AccountDeclarationInfo -> Text

-- | tags extracted from the account comment, if any
[aditags] :: AccountDeclarationInfo -> [Tag]

-- | the order in which this account was declared, relative to other
--   account declarations, during parsing (1..)
[adideclarationorder] :: AccountDeclarationInfo -> Int

-- | source file and position
[adisourcepos] :: AccountDeclarationInfo -> SourcePos

-- | A journal in the process of being parsed, not yet finalised. The data
--   is partial, and list fields are in reverse order.
type ParsedJournal = Journal

-- | The id of a data format understood by hledger, eg <tt>journal</tt> or
--   <tt>csv</tt>. The --output-format option selects one of these for
--   output.
type StorageFormat = String

-- | Whether an account's balance is normally a positive number (in
--   accounting terms, a debit balance) or a negative number (credit
--   balance). Assets and expenses are normally positive (debit), while
--   liabilities, equity and income are normally negative (credit).
--   <a>https://en.wikipedia.org/wiki/Normal_balance</a>
data NormalSign
NormallyPositive :: NormalSign
NormallyNegative :: NormalSign
pattern MixedAmountKeyNoPrice :: () => !CommoditySymbol -> MixedAmountKey
pattern MixedAmountKeyTotalPrice :: () => !CommoditySymbol -> !CommoditySymbol -> MixedAmountKey
pattern MixedAmountKeyUnitPrice :: () => !CommoditySymbol -> !CommoditySymbol -> !Quantity -> MixedAmountKey
fromEFDay :: EFDay -> Day
modifyEFDay :: (Day -> Day) -> EFDay -> EFDay
isBalanceSheetAccountType :: AccountType -> Bool
isIncomeStatementAccountType :: AccountType -> Bool

-- | Check whether the first argument is a subtype of the second: either
--   equal or one of the defined subtypes.
isAccountSubtypeOf :: AccountType -> AccountType -> Bool
isDecimalMark :: Char -> Bool

-- | Compare two MixedAmounts, substituting 0 for the quantity of any
--   missing commodities in either.
maCompare :: MixedAmount -> MixedAmount -> Ordering
nulltransactionmodifier :: TransactionModifier
nullperiodictransaction :: PeriodicTransaction
nullpayeedeclarationinfo :: PayeeDeclarationInfo
nulltagdeclarationinfo :: TagDeclarationInfo
nullaccountdeclarationinfo :: AccountDeclarationInfo
tests_Data :: TestTree


-- | Options common to most hledger reports.
module Hledger.Reports.ReportOptions

-- | Standard options for customising report filtering and output. Most of
--   these correspond to standard hledger command-line options or query
--   arguments, but not all. Some are used only by certain commands, as
--   noted below.
data ReportOpts
ReportOpts :: Period -> Interval -> [Status] -> Maybe ConversionOp -> Maybe ValuationType -> Bool -> Maybe Int -> Bool -> Bool -> Bool -> Bool -> StringFormat -> Bool -> [Text] -> Bool -> Bool -> Bool -> BalanceCalculation -> BalanceAccumulation -> Maybe Text -> AccountListMode -> Int -> Bool -> Bool -> Bool -> Bool -> Bool -> Bool -> Bool -> Bool -> Maybe NormalSign -> Bool -> Bool -> Layout -> ReportOpts
[period_] :: ReportOpts -> Period
[interval_] :: ReportOpts -> Interval

-- | Zero, one, or two statuses to be matched
[statuses_] :: ReportOpts -> [Status]

-- | Which operation should we apply to conversion transactions?
[conversionop_] :: ReportOpts -> Maybe ConversionOp

-- | What value should amounts be converted to ?
[value_] :: ReportOpts -> Maybe ValuationType

-- | Infer market prices from transactions ?
[infer_prices_] :: ReportOpts -> Bool
[depth_] :: ReportOpts -> Maybe Int
[date2_] :: ReportOpts -> Bool
[empty_] :: ReportOpts -> Bool
[no_elide_] :: ReportOpts -> Bool
[real_] :: ReportOpts -> Bool
[format_] :: ReportOpts -> StringFormat
[pretty_] :: ReportOpts -> Bool
[querystring_] :: ReportOpts -> [Text]
[average_] :: ReportOpts -> Bool
[related_] :: ReportOpts -> Bool
[txn_dates_] :: ReportOpts -> Bool

-- | What to calculate in balance report cells
[balancecalc_] :: ReportOpts -> BalanceCalculation

-- | How to accumulate balance report values over time
[balanceaccum_] :: ReportOpts -> BalanceAccumulation

-- | A case-insensitive description substring to select periodic
--   transactions for budget reports. (Not a regexp, nor a full hledger
--   query, for now.)
[budgetpat_] :: ReportOpts -> Maybe Text
[accountlistmode_] :: ReportOpts -> AccountListMode
[drop_] :: ReportOpts -> Int

-- | Include accounts declared but not yet posted to ?
[declared_] :: ReportOpts -> Bool
[row_total_] :: ReportOpts -> Bool
[no_total_] :: ReportOpts -> Bool
[summary_only_] :: ReportOpts -> Bool

-- | Show costs for reports which normally don't show them ?
[show_costs_] :: ReportOpts -> Bool
[sort_amount_] :: ReportOpts -> Bool
[percent_] :: ReportOpts -> Bool

-- | Flip all amount signs in reports ?
[invert_] :: ReportOpts -> Bool

-- | This can be set when running balance reports on a set of accounts with
--   the same normal balance type (eg all assets, or all incomes). - It
--   helps --sort-amount know how to sort negative numbers (eg in the
--   income section of an income statement) - It helps compound balance
--   report commands (is, bs etc.) do sign normalisation, converting
--   normally negative subreports to normally positive for a more
--   conventional display.
[normalbalance_] :: ReportOpts -> Maybe NormalSign

-- | Whether to use ANSI color codes in text output. Influenced by the
--   --color/colour flag (cf CliOptions), whether stdout is an interactive
--   terminal, and the value of TERM and existence of NO_COLOR environment
--   variables.
[color_] :: ReportOpts -> Bool
[transpose_] :: ReportOpts -> Bool
[layout_] :: ReportOpts -> Layout

-- | Lenses for ReportOpts.
class HasReportOptsNoUpdate c_a4Mv5
reportOptsNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 ReportOpts
accountlistmode :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 AccountListMode
average :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
balanceaccum :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 BalanceAccumulation
balancecalc :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 BalanceCalculation
budgetpat :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 (Maybe Text)
color__ :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
conversionop :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 (Maybe ConversionOp)
date2NoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
declared :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
depthNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 (Maybe Int)
drop__ :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Int
empty__ :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
format :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 StringFormat
infer_prices :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
interval :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Interval
invert :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
layout :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Layout
no_elide :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
no_total :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
normalbalance :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 (Maybe NormalSign)
percent :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
periodNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Period
pretty :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
querystringNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 [Text]
realNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
related :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
row_total :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
show_costs :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
sort_amount :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
statusesNoUpdate :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 [Status]
summary_only :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
transpose__ :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
txn_dates :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 Bool
value :: HasReportOptsNoUpdate c_a4Mv5 => Lens' c_a4Mv5 (Maybe ValuationType)

-- | Special lenses for ReportOpts which also update the Query and
--   QueryOpts in ReportSpec. Note that these are not true lenses, as they
--   have a further restriction on the functor. This will work as a normal
--   lens for all common uses, but since they don't obey the lens laws for
--   some fancy cases, they may fail in some exotic circumstances.
--   
--   Note that setEither/overEither should only be necessary with
--   querystring and reportOpts: the other lenses should never fail.
--   
--   <h3>Examples:</h3>
--   
--   <pre>
--   &gt;&gt;&gt; import Lens.Micro (set)
--   
--   &gt;&gt;&gt; _rsQuery &lt;$&gt; setEither querystring ["assets"] defreportspec
--   Right (Acct (RegexpCI "assets"))
--   
--   &gt;&gt;&gt; _rsQuery &lt;$&gt; setEither querystring ["(assets"] defreportspec
--   Left "This regular expression is malformed, please correct it:\n(assets"
--   
--   &gt;&gt;&gt; _rsQuery $ set querystring ["assets"] defreportspec
--   Acct (RegexpCI "assets")
--   
--   &gt;&gt;&gt; _rsQuery $ set querystring ["(assets"] defreportspec
--   *** Exception: Error: Updating ReportSpec failed: try using overEither instead of over or setEither instead of set
--   
--   &gt;&gt;&gt; _rsQuery $ set period (MonthPeriod 2021 08) defreportspec
--   Date DateSpan 2021-08
--   </pre>
class HasReportOptsNoUpdate a => HasReportOpts a
reportOpts :: HasReportOpts a => ReportableLens' a ReportOpts
period :: HasReportOpts a => ReportableLens' a Period
statuses :: HasReportOpts a => ReportableLens' a [Status]
depth :: HasReportOpts a => ReportableLens' a (Maybe Int)
date2 :: HasReportOpts a => ReportableLens' a Bool
real :: HasReportOpts a => ReportableLens' a Bool
querystring :: HasReportOpts a => ReportableLens' a [Text]

-- | A fully-determined set of report parameters (report options with all
--   partial values made total, eg the begin and end dates are known,
--   avoiding date/regex errors; plus the reporting date), and the query
--   successfully calculated from them.
--   
--   If you change the report options or date in one of these, you should
--   use <a>reportOptsToSpec</a> to regenerate the whole thing, avoiding
--   inconsistency.
data ReportSpec
ReportSpec :: ReportOpts -> Day -> Query -> [QueryOpt] -> ReportSpec

-- | The underlying ReportOpts used to generate this ReportSpec
[_rsReportOpts] :: ReportSpec -> ReportOpts

-- | The Day this ReportSpec is generated for
[_rsDay] :: ReportSpec -> Day

-- | The generated Query for the given day
[_rsQuery] :: ReportSpec -> Query

-- | A list of QueryOpts for the given day
[_rsQueryOpts] :: ReportSpec -> [QueryOpt]
class HasReportSpec c_a4NyF
reportSpec :: HasReportSpec c_a4NyF => Lens' c_a4NyF ReportSpec
rsDay :: HasReportSpec c_a4NyF => Lens' c_a4NyF Day
rsQuery :: HasReportSpec c_a4NyF => Lens' c_a4NyF Query
rsQueryOpts :: HasReportSpec c_a4NyF => Lens' c_a4NyF [QueryOpt]
rsReportOpts :: HasReportSpec c_a4NyF => Lens' c_a4NyF ReportOpts

-- | Apply a function over a lens, but report on failure.
overEither :: ((a -> Either e b) -> s -> Either e t) -> (a -> b) -> s -> Either e t

-- | Set a field using a lens, but report on failure.
setEither :: ((a -> Either e b) -> s -> Either e t) -> b -> s -> Either e t

-- | What to calculate for each cell in a balance report. "Balance report
--   types -&gt; Calculation type" in the hledger manual.
data BalanceCalculation

-- | Sum of posting amounts in the period.
CalcChange :: BalanceCalculation

-- | Sum of posting amounts and the goal for the period.
CalcBudget :: BalanceCalculation

-- | Change from previous period's historical end value to this period's
--   historical end value.
CalcValueChange :: BalanceCalculation

-- | Change from previous period's gain, i.e. valuation minus cost basis.
CalcGain :: BalanceCalculation

-- | Number of postings in the period.
CalcPostingsCount :: BalanceCalculation

-- | How to accumulate calculated values across periods (columns) in a
--   balance report. "Balance report types -&gt; Accumulation type" in the
--   hledger manual.
data BalanceAccumulation

-- | No accumulation. Eg, shows the change of balance in each period.
PerPeriod :: BalanceAccumulation

-- | Accumulate changes across periods, starting from zero at report start.
Cumulative :: BalanceAccumulation

-- | Accumulate changes across periods, including any from before report
--   start. Eg, shows the historical end balance of each period.
Historical :: BalanceAccumulation

-- | Should accounts be displayed: in the command's default style,
--   hierarchically, or as a flat list ?
data AccountListMode
ALFlat :: AccountListMode
ALTree :: AccountListMode

-- | What kind of value conversion should be done on amounts ? CLI:
--   --value=then|end|now|DATE[,COMM]
data ValuationType

-- | convert to default or given valuation commodity, using market prices
--   at each posting's date
AtThen :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using market prices
--   at period end(s)
AtEnd :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using current market
--   prices
AtNow :: Maybe CommoditySymbol -> ValuationType

-- | convert to default or given valuation commodity, using market prices
--   on some date
AtDate :: Day -> Maybe CommoditySymbol -> ValuationType
data Layout
LayoutWide :: Maybe Int -> Layout
LayoutTall :: Layout
LayoutBare :: Layout
LayoutTidy :: Layout
defreportopts :: ReportOpts

-- | Generate a ReportOpts from raw command-line input, given a day. This
--   will fail with a usage error if it is passed - an invalid --format
--   argument, - an invalid --value argument, - if --valuechange is called
--   with a valuation type other than -V/--value=end. - an invalid --pretty
--   argument,
rawOptsToReportOpts :: Day -> RawOpts -> ReportOpts
defreportspec :: ReportSpec

-- | Set the default ConversionOp.
setDefaultConversionOp :: ConversionOp -> ReportSpec -> ReportSpec

-- | Generate a ReportSpec from a set of ReportOpts on a given day.
reportOptsToSpec :: Day -> ReportOpts -> Either String ReportSpec

-- | Update the ReportOpts and the fields derived from it in a ReportSpec,
--   or return an error message if there is a problem such as missing or
--   unparseable options data. This is the safe way to change a ReportSpec,
--   ensuring that all fields (_rsQuery, _rsReportOpts, querystring_, etc.)
--   are in sync.
updateReportSpec :: ReportOpts -> ReportSpec -> Either String ReportSpec

-- | Like updateReportSpec, but takes a ReportOpts-modifying function.
updateReportSpecWith :: (ReportOpts -> ReportOpts) -> ReportSpec -> Either String ReportSpec

-- | Generate a ReportSpec from RawOpts and a provided day, or return an
--   error string if there are regular expression errors.
rawOptsToReportSpec :: Day -> RawOpts -> Either String ReportSpec
balanceAccumulationOverride :: RawOpts -> Maybe BalanceAccumulation
flat_ :: ReportOpts -> Bool

-- | Legacy-compatible convenience aliases for accountlistmode_.
tree_ :: ReportOpts -> Bool

-- | Add/remove this status from the status list. Used by hledger-ui.
reportOptsToggleStatus :: Status -> ReportOpts -> ReportOpts

-- | Reduce a list of statuses to just one of each status, and if all
--   statuses are present return the empty list.
simplifyStatuses :: Ord a => [a] -> [a]

-- | Report which date we will report on based on --date2.
whichDate :: ReportOpts -> WhichDate

-- | Convert a <tt>Journal'</tt>s amounts to cost and/or to value (see
--   <a>journalApplyValuationFromOpts</a>), and filter by the
--   <a>ReportSpec</a> <a>Query</a>.
--   
--   We make sure to first filter by amt: and cur: terms, then value the
--   <a>Journal</a>, then filter by the remaining terms.
journalValueAndFilterPostings :: ReportSpec -> Journal -> Journal

-- | Like <a>journalValueAndFilterPostings</a>, but takes a
--   <a>PriceOracle</a> as an argument.
journalValueAndFilterPostingsWith :: ReportSpec -> Journal -> PriceOracle -> Journal

-- | Convert this journal's postings' amounts to cost and/or to value, if
--   specified by options (-B<i>--cost</i>-V<i>-X</i>--value etc.). Strip
--   prices if not needed. This should be the main stop for performing
--   costing and valuation. The exception is whenever you need to perform
--   valuation _after_ summing up amounts, as in a historical balance
--   report with --value=end. valuationAfterSum will check for this
--   condition.
journalApplyValuationFromOpts :: ReportSpec -> Journal -> Journal

-- | Like journalApplyValuationFromOpts, but takes PriceOracle as an
--   argument.
journalApplyValuationFromOptsWith :: ReportSpec -> Journal -> PriceOracle -> Journal

-- | Select the Account valuation functions required for performing
--   valuation after summing amounts. Used in MultiBalanceReport to value
--   historical and similar reports.
mixedAmountApplyValuationAfterSumFromOptsWith :: ReportOpts -> Journal -> PriceOracle -> DateSpan -> MixedAmount -> MixedAmount

-- | If the ReportOpts specify that we are performing valuation after
--   summing amounts, return Just of the commodity symbol we're converting
--   to, Just Nothing for the default, and otherwise return Nothing. Used
--   for example with historical reports with --value=end.
valuationAfterSum :: ReportOpts -> Maybe (Maybe CommoditySymbol)

-- | Get the report interval, if any, specified by the last of -p/--period,
--   -D<i>--daily, -W</i>--weekly, -M/--monthly etc. options. An interval
--   from --period counts only if it is explicitly defined.
intervalFromRawOpts :: RawOpts -> Interval

-- | Convert report options to a query, ignoring any non-flag command line
--   arguments.
queryFromFlags :: ReportOpts -> Query

-- | Select the Transaction date accessor based on --date2.
transactionDateFn :: ReportOpts -> Transaction -> Day

-- | Select the Posting date accessor based on --date2.
postingDateFn :: ReportOpts -> Posting -> Day

-- | The effective report span is the start and end dates specified by
--   options or queries, or otherwise the earliest and latest transaction
--   or posting dates in the journal. If no dates are specified by
--   options/queries and the journal is empty, returns the null date span.
--   Also return the intervals if they are requested.
reportSpan :: Journal -> ReportSpec -> (DateSpan, [DateSpan])

-- | Like reportSpan, but uses both primary and secondary dates when
--   calculating the span.
reportSpanBothDates :: Journal -> ReportSpec -> (DateSpan, [DateSpan])
reportStartDate :: Journal -> ReportSpec -> Maybe Day
reportEndDate :: Journal -> ReportSpec -> Maybe Day
reportPeriodStart :: ReportSpec -> Maybe Day
reportPeriodOrJournalStart :: ReportSpec -> Journal -> Maybe Day
reportPeriodLastDay :: ReportSpec -> Maybe Day
reportPeriodOrJournalLastDay :: ReportSpec -> Journal -> Maybe Day

-- | Make a name for the given period in a multiperiod report, given the
--   type of balance being reported and the full set of report periods.
--   This will be used as a column heading (or row heading, in a register
--   summary report). We try to pick a useful name as follows:
--   
--   <ul>
--   <li>ending-balance reports: the period's end date</li>
--   <li>balance change reports where the periods are months and all in the
--   same year: the short month name in the current locale</li>
--   <li>all other balance change reports: a description of the datespan,
--   abbreviated to compact form if possible (see showDateSpan).</li>
--   </ul>
reportPeriodName :: BalanceAccumulation -> [DateSpan] -> DateSpan -> Text
instance Hledger.Reports.ReportOptions.HasReportOpts Hledger.Reports.ReportOptions.ReportOpts
instance Hledger.Reports.ReportOptions.HasReportOpts Hledger.Reports.ReportOptions.ReportSpec
instance Hledger.Reports.ReportOptions.HasReportSpec Hledger.Reports.ReportOptions.ReportSpec
instance Hledger.Reports.ReportOptions.HasReportOptsNoUpdate Hledger.Reports.ReportOptions.ReportSpec
instance Hledger.Reports.ReportOptions.HasReportOptsNoUpdate Hledger.Reports.ReportOptions.ReportOpts
instance GHC.Show.Show Hledger.Reports.ReportOptions.BalanceCalculation
instance GHC.Classes.Eq Hledger.Reports.ReportOptions.BalanceCalculation
instance GHC.Show.Show Hledger.Reports.ReportOptions.BalanceAccumulation
instance GHC.Classes.Eq Hledger.Reports.ReportOptions.BalanceAccumulation
instance GHC.Show.Show Hledger.Reports.ReportOptions.AccountListMode
instance GHC.Classes.Eq Hledger.Reports.ReportOptions.AccountListMode
instance GHC.Show.Show Hledger.Reports.ReportOptions.Layout
instance GHC.Classes.Eq Hledger.Reports.ReportOptions.Layout
instance GHC.Show.Show Hledger.Reports.ReportOptions.ReportOpts
instance GHC.Show.Show Hledger.Reports.ReportOptions.ReportSpec
instance Hledger.Reports.ReportOptions.Reportable (Data.Functor.Const.Const r) e
instance Hledger.Reports.ReportOptions.Reportable Data.Functor.Identity.Identity e
instance Hledger.Reports.ReportOptions.Reportable GHC.Maybe.Maybe e
instance (e GHC.Types.~ a) => Hledger.Reports.ReportOptions.Reportable (Data.Either.Either a) e
instance Data.Default.Class.Default Hledger.Reports.ReportOptions.ReportSpec
instance Data.Default.Class.Default Hledger.Reports.ReportOptions.ReportOpts
instance Data.Default.Class.Default Hledger.Reports.ReportOptions.AccountListMode
instance Data.Default.Class.Default Hledger.Reports.ReportOptions.BalanceAccumulation
instance Data.Default.Class.Default Hledger.Reports.ReportOptions.BalanceCalculation


-- | New common report types, used by the BudgetReport for now, perhaps all
--   reports later.
module Hledger.Reports.ReportTypes

-- | A periodic report is a generic tabular report, where each row
--   corresponds to some label (usually an account name) and each column to
--   a date period. The column periods are usually consecutive subperiods
--   formed by splitting the overall report period by some report interval
--   (daily, weekly, etc.). It has:
--   
--   <ol>
--   <li>a list of each column's period (date span)</li>
--   <li>a list of rows, each containing:</li>
--   </ol>
--   
--   <ul>
--   <li>an account label</li>
--   <li>the account's depth</li>
--   <li>A list of amounts, one for each column. Depending on the value
--   type, these can represent balance changes, ending balances, budget
--   performance, etc. (for example, see <tt>BalanceAccumulation</tt> and
--   <a>Hledger.Cli.Commands.Balance</a>).</li>
--   <li>the total of the row's amounts for a periodic report, or zero for
--   cumulative/historical reports (since summing end balances generally
--   doesn't make sense).</li>
--   <li>the average of the row's amounts</li>
--   </ul>
--   
--   <ol>
--   <li>the column totals, and the overall grand total (or zero for
--   cumulative/historical reports) and grand average.</li>
--   </ol>
data PeriodicReport a b
PeriodicReport :: [DateSpan] -> [PeriodicReportRow a b] -> PeriodicReportRow () b -> PeriodicReport a b
[prDates] :: PeriodicReport a b -> [DateSpan]
[prRows] :: PeriodicReport a b -> [PeriodicReportRow a b]
[prTotals] :: PeriodicReport a b -> PeriodicReportRow () b
data PeriodicReportRow a b
PeriodicReportRow :: a -> [b] -> b -> b -> PeriodicReportRow a b
[prrName] :: PeriodicReportRow a b -> a
[prrAmounts] :: PeriodicReportRow a b -> [b]
[prrTotal] :: PeriodicReportRow a b -> b
[prrAverage] :: PeriodicReportRow a b -> b
type Percentage = Decimal
type Change = -- | A change in balance during a certain period. MixedAmount
type Balance = -- | An ending balance as of some date. MixedAmount
type Total = -- | The sum of 'Change's in a report or a report row. Does not make sense for 'Balance's. MixedAmount
type Average = -- | The average of 'Change's or 'Balance's in a report or report row. MixedAmount

-- | Figure out the overall date span of a PeriodicReport
periodicReportSpan :: PeriodicReport a b -> DateSpan

-- | Map a function over the row names.
prMapName :: (a -> b) -> PeriodicReport a c -> PeriodicReport b c

-- | Map a function over the row names, possibly discarding some.
prMapMaybeName :: (a -> Maybe b) -> PeriodicReport a c -> PeriodicReport b c

-- | A compound balance report has:
--   
--   <ul>
--   <li>an overall title</li>
--   <li>the period (date span) of each column</li>
--   <li>one or more named, normal-positive multi balance reports, with
--   columns corresponding to the above, and a flag indicating whether they
--   increased or decreased the overall totals</li>
--   <li>a list of overall totals for each column, and their grand total
--   and average</li>
--   </ul>
--   
--   It is used in compound balance report commands like balancesheet,
--   cashflow and incomestatement.
data CompoundPeriodicReport a b
CompoundPeriodicReport :: Text -> [DateSpan] -> [(Text, PeriodicReport a b, Bool)] -> PeriodicReportRow () b -> CompoundPeriodicReport a b
[cbrTitle] :: CompoundPeriodicReport a b -> Text
[cbrDates] :: CompoundPeriodicReport a b -> [DateSpan]
[cbrSubreports] :: CompoundPeriodicReport a b -> [(Text, PeriodicReport a b, Bool)]
[cbrTotals] :: CompoundPeriodicReport a b -> PeriodicReportRow () b

-- | Description of one subreport within a compound balance report. Part of
--   a <a>CompoundBalanceCommandSpec</a>, but also used in hledger-lib.
data CBCSubreportSpec a
CBCSubreportSpec :: Text -> Query -> (ReportOpts -> ReportOpts) -> (PeriodicReport DisplayName MixedAmount -> PeriodicReport a MixedAmount) -> Bool -> CBCSubreportSpec a

-- | The title to use for the subreport
[cbcsubreporttitle] :: CBCSubreportSpec a -> Text

-- | The Query to use for the subreport
[cbcsubreportquery] :: CBCSubreportSpec a -> Query

-- | A function to transform the ReportOpts used to produce the subreport
[cbcsubreportoptions] :: CBCSubreportSpec a -> ReportOpts -> ReportOpts

-- | A function to transform the result of the subreport
[cbcsubreporttransform] :: CBCSubreportSpec a -> PeriodicReport DisplayName MixedAmount -> PeriodicReport a MixedAmount

-- | Whether the subreport and overall report total are of the same sign
--   (e.g. Assets are normally positive in a balance sheet report, as is
--   the overall total. Liabilities are normally of the opposite sign.)
[cbcsubreportincreasestotal] :: CBCSubreportSpec a -> Bool

-- | A full name, display name, and depth for an account.
data DisplayName
DisplayName :: AccountName -> AccountName -> Int -> DisplayName
[displayFull] :: DisplayName -> AccountName
[displayName] :: DisplayName -> AccountName
[displayDepth] :: DisplayName -> Int

-- | Construct a flat display name, where the full name is also displayed
--   at depth 1
flatDisplayName :: AccountName -> DisplayName

-- | Construct a tree display name, where only the leaf is displayed at its
--   given depth
treeDisplayName :: AccountName -> DisplayName

-- | Get the full, canonical, name of a PeriodicReportRow tagged by a
--   DisplayName.
prrFullName :: PeriodicReportRow DisplayName a -> AccountName

-- | Get the display name of a PeriodicReportRow tagged by a DisplayName.
prrDisplayName :: PeriodicReportRow DisplayName a -> AccountName

-- | Get the display depth of a PeriodicReportRow tagged by a DisplayName.
prrDepth :: PeriodicReportRow DisplayName a -> Int

-- | Add two <tt>PeriodicReportRows</tt>, preserving the name of the first.
prrAdd :: Semigroup b => PeriodicReportRow a b -> PeriodicReportRow a b -> PeriodicReportRow a b
instance (Data.Aeson.Types.ToJSON.ToJSON b, Data.Aeson.Types.ToJSON.ToJSON a) => Data.Aeson.Types.ToJSON.ToJSON (Hledger.Reports.ReportTypes.PeriodicReportRow a b)
instance GHC.Generics.Generic (Hledger.Reports.ReportTypes.PeriodicReportRow a b)
instance GHC.Base.Functor (Hledger.Reports.ReportTypes.PeriodicReportRow a)
instance (GHC.Show.Show a, GHC.Show.Show b) => GHC.Show.Show (Hledger.Reports.ReportTypes.PeriodicReportRow a b)
instance (Data.Aeson.Types.ToJSON.ToJSON a, Data.Aeson.Types.ToJSON.ToJSON b) => Data.Aeson.Types.ToJSON.ToJSON (Hledger.Reports.ReportTypes.PeriodicReport a b)
instance GHC.Generics.Generic (Hledger.Reports.ReportTypes.PeriodicReport a b)
instance GHC.Base.Functor (Hledger.Reports.ReportTypes.PeriodicReport a)
instance (GHC.Show.Show a, GHC.Show.Show b) => GHC.Show.Show (Hledger.Reports.ReportTypes.PeriodicReport a b)
instance (Data.Aeson.Types.ToJSON.ToJSON b, Data.Aeson.Types.ToJSON.ToJSON a) => Data.Aeson.Types.ToJSON.ToJSON (Hledger.Reports.ReportTypes.CompoundPeriodicReport a b)
instance GHC.Generics.Generic (Hledger.Reports.ReportTypes.CompoundPeriodicReport a b)
instance GHC.Base.Functor (Hledger.Reports.ReportTypes.CompoundPeriodicReport a)
instance (GHC.Show.Show a, GHC.Show.Show b) => GHC.Show.Show (Hledger.Reports.ReportTypes.CompoundPeriodicReport a b)
instance GHC.Classes.Ord Hledger.Reports.ReportTypes.DisplayName
instance GHC.Classes.Eq Hledger.Reports.ReportTypes.DisplayName
instance GHC.Show.Show Hledger.Reports.ReportTypes.DisplayName
instance Data.Aeson.Types.ToJSON.ToJSON Hledger.Reports.ReportTypes.DisplayName
instance Hledger.Data.Types.HasAmounts b => Hledger.Data.Types.HasAmounts (Hledger.Reports.ReportTypes.CompoundPeriodicReport a b)
instance Data.Bifunctor.Bifunctor Hledger.Reports.ReportTypes.PeriodicReport
instance Hledger.Data.Types.HasAmounts b => Hledger.Data.Types.HasAmounts (Hledger.Reports.ReportTypes.PeriodicReport a b)
instance Hledger.Data.Types.HasAmounts b => Hledger.Data.Types.HasAmounts (Data.Text.Internal.Text, Hledger.Reports.ReportTypes.PeriodicReport a b, GHC.Types.Bool)
instance Data.Bifunctor.Bifunctor Hledger.Reports.ReportTypes.PeriodicReportRow
instance GHC.Base.Semigroup b => GHC.Base.Semigroup (Hledger.Reports.ReportTypes.PeriodicReportRow a b)
instance Hledger.Data.Types.HasAmounts b => Hledger.Data.Types.HasAmounts (Hledger.Reports.ReportTypes.PeriodicReportRow a b)


-- | Postings report, used by the register command.
module Hledger.Reports.PostingsReport

-- | A postings report is a list of postings with a running total, and a
--   little extra transaction info to help with rendering. This is used eg
--   for the register command.
type PostingsReport = [PostingsReportItem]
type PostingsReportItem = (Maybe Day, Maybe Period, Maybe Text, Posting, MixedAmount)

-- | Select postings from the journal and add running balance and other
--   information to make a postings report. Used by eg hledger's register
--   command.
postingsReport :: ReportSpec -> Journal -> PostingsReport

-- | Generate one postings report line item, containing the posting, the
--   current running balance, and optionally the posting date and/or the
--   transaction description.
mkpostingsReportItem :: Bool -> Bool -> WhichDate -> Maybe Period -> Posting -> MixedAmount -> PostingsReportItem
tests_PostingsReport :: TestTree
instance Hledger.Data.Types.HasAmounts Hledger.Reports.PostingsReport.PostingsReportItem


-- | Multi-column balance reports, used by the balance command.
module Hledger.Reports.MultiBalanceReport

-- | A multi balance report is a kind of periodic report, where the amounts
--   correspond to balance changes or ending balances in a given period. It
--   has:
--   
--   <ol>
--   <li>a list of each column's period (date span)</li>
--   <li>a list of rows, each containing:</li>
--   </ol>
--   
--   <ul>
--   <li>the full account name, display name, and display depth</li>
--   <li>A list of amounts, one for each column.</li>
--   <li>the total of the row's amounts for a periodic report</li>
--   <li>the average of the row's amounts</li>
--   </ul>
--   
--   <ol>
--   <li>the column totals, and the overall grand total (or zero for
--   cumulative/historical reports) and grand average.</li>
--   </ol>
type MultiBalanceReport = PeriodicReport DisplayName MixedAmount
type MultiBalanceReportRow = PeriodicReportRow DisplayName MixedAmount

-- | Generate a multicolumn balance report for the matched accounts,
--   showing the change of balance, accumulated balance, or historical
--   balance in each of the specified periods. If the normalbalance_ option
--   is set, it adjusts the sorting and sign of amounts (see ReportOpts and
--   CompoundBalanceCommand). hledger's most powerful and useful report,
--   used by the balance command (in multiperiod mode) and (via
--   compoundBalanceReport) by the bs<i>cf</i>is commands.
multiBalanceReport :: ReportSpec -> Journal -> MultiBalanceReport

-- | A helper for multiBalanceReport. This one takes some extra arguments,
--   a <a>PriceOracle</a> to be used for looking up market prices, and a
--   set of <a>AccountName</a>s which should not be elided. Commands which
--   run multiple reports (bs etc.) can generate the price oracle just once
--   for efficiency, passing it to each report by calling this function
--   directly.
multiBalanceReportWith :: ReportSpec -> Journal -> PriceOracle -> Set AccountName -> MultiBalanceReport

-- | Generate a compound balance report from a list of CBCSubreportSpec.
--   This shares postings between the subreports.
compoundBalanceReport :: ReportSpec -> Journal -> [CBCSubreportSpec a] -> CompoundPeriodicReport a MixedAmount

-- | A helper for compoundBalanceReport, similar to multiBalanceReportWith.
compoundBalanceReportWith :: ReportSpec -> Journal -> PriceOracle -> [CBCSubreportSpec a] -> CompoundPeriodicReport a MixedAmount

-- | Sort the rows by amount or by account declaration order.
sortRows :: ReportOpts -> Journal -> [MultiBalanceReportRow] -> [MultiBalanceReportRow]

-- | A sorting helper: sort a list of things (eg report rows) keyed by
--   account name to match the provided ordering of those same account
--   names.
sortRowsLike :: [AccountName] -> [PeriodicReportRow DisplayName b] -> [PeriodicReportRow DisplayName b]

-- | Remove any date queries and insert queries from the report span. The
--   user's query expanded to the report span if there is one (otherwise
--   any date queries are left as-is, which handles the hledger-ui+future
--   txns case above).
makeReportQuery :: ReportSpec -> DateSpan -> ReportSpec

-- | Group postings, grouped by their column
getPostingsByColumn :: ReportSpec -> Journal -> PriceOracle -> [DateSpan] -> [(DateSpan, [Posting])]

-- | Gather postings matching the query within the report period.
getPostings :: ReportSpec -> Journal -> PriceOracle -> [Posting]

-- | Postings needed to calculate starting balances.
--   
--   Balances at report start date, from all earlier postings which
--   otherwise match the query. These balances are unvalued. TODO: Do we
--   want to check whether to bother calculating these? isHistorical and
--   startDate is not nothing, otherwise mempty? This currently gives a
--   failure with some totals which are supposed to be 0 being blank.
startingPostings :: ReportSpec -> Journal -> PriceOracle -> DateSpan -> [Posting]

-- | Lay out a set of postings grouped by date span into a regular matrix
--   with rows given by AccountName and columns by DateSpan, then generate
--   a MultiBalanceReport from the columns.
generateMultiBalanceReport :: ReportSpec -> Journal -> PriceOracle -> Set AccountName -> [(DateSpan, [Posting])] -> HashMap AccountName Account -> MultiBalanceReport

-- | Given a table representing a multi-column balance report (for example,
--   made using <tt>balanceReportAsTable</tt>), render it in a format
--   suitable for console output. Amounts with more than two commodities
--   will be elided unless --no-elide is used.
balanceReportTableAsText :: ReportOpts -> Table Text Text WideBuilder -> Builder
tests_MultiBalanceReport :: TestTree


-- | Journal entries report, used by the print command.
module Hledger.Reports.EntriesReport

-- | A journal entries report is a list of whole transactions as originally
--   entered in the journal (mostly). This is used by eg hledger's print
--   command and hledger-web's journal entries view.
type EntriesReport = [EntriesReportItem]
type EntriesReportItem = Transaction

-- | Select transactions for an entries report.
entriesReport :: ReportSpec -> Journal -> EntriesReport
tests_EntriesReport :: TestTree

module Hledger.Reports.BudgetReport
type BudgetGoal = Change
type BudgetTotal = Total
type BudgetAverage = Average

-- | A budget report tracks expected and actual changes per account and
--   subperiod.
type BudgetCell = (Maybe Change, Maybe BudgetGoal)
type BudgetReportRow = PeriodicReportRow DisplayName BudgetCell
type BudgetReport = PeriodicReport DisplayName BudgetCell

-- | Calculate per-account, per-period budget (balance change) goals from
--   all periodic transactions, calculate actual balance changes from the
--   regular transactions, and compare these to get a <a>BudgetReport</a>.
--   Unbudgeted accounts may be hidden or renamed (see
--   journalWithBudgetAccountNames).
budgetReport :: ReportSpec -> BalancingOpts -> DateSpan -> Journal -> BudgetReport

-- | Build a <tt>Table</tt> from a multi-column balance report.
budgetReportAsTable :: ReportOpts -> BudgetReport -> Table Text Text WideBuilder

-- | Render a budget report as plain text suitable for console output.
budgetReportAsText :: ReportOpts -> BudgetReport -> Text

-- | Render a budget report as CSV. Like multiBalanceReportAsCsv, but
--   includes alternating actual and budget amount columns.
budgetReportAsCsv :: ReportOpts -> BudgetReport -> [[Text]]

-- | Combine a per-account-and-subperiod report of budget goals, and one of
--   actual change amounts, into a budget performance report. The two
--   reports should have the same report interval, but need not have
--   exactly the same account rows or date columns. (Cells in the combined
--   budget report can be missing a budget goal, an actual amount, or
--   both.) The combined report will include:
--   
--   <ul>
--   <li>consecutive subperiods at the same interval as the two reports,
--   spanning the period of both reports</li>
--   <li>all accounts mentioned in either report, sorted by account code or
--   account name or amount as appropriate.</li>
--   </ul>
combineBudgetAndActual :: ReportOpts -> Journal -> MultiBalanceReport -> MultiBalanceReport -> BudgetReport
tests_BudgetReport :: TestTree


-- | Balance report, used by the balance command.
module Hledger.Reports.BalanceReport

-- | A simple balance report. It has:
--   
--   <ol>
--   <li>a list of items, one per account, each containing:</li>
--   </ol>
--   
--   <ul>
--   <li>the full account name</li>
--   <li>the Ledger-style elided short account name (the leaf account name,
--   prefixed by any boring parents immediately above); or with --flat, the
--   full account name again</li>
--   <li>the number of indentation steps for rendering a Ledger-style
--   account tree, taking into account elided boring parents, --no-elide
--   and --flat</li>
--   <li>an amount</li>
--   </ul>
--   
--   <ol>
--   <li>the total of all amounts</li>
--   </ol>
type BalanceReport = ([BalanceReportItem], MixedAmount)
type BalanceReportItem = (AccountName, AccountName, Int, MixedAmount)

-- | Enabling this makes balance --flat --empty also show parent accounts
--   without postings, in addition to those with postings and a zero
--   balance. Disabling it shows only the latter. No longer supported, but
--   leave this here for a bit. flatShowsPostinglessAccounts = True
--   
--   Generate a simple balance report, containing the matched accounts and
--   their balances (change of balance) during the specified period. If the
--   normalbalance_ option is set, it adjusts the sorting and sign of
--   amounts (see ReportOpts and CompoundBalanceCommand).
balanceReport :: ReportSpec -> Journal -> BalanceReport

-- | When true (the default), this makes balance --flat reports and their
--   implementation clearer. Single/multi-col balance reports currently
--   aren't all correct if this is false.
flatShowsExclusiveBalance :: Bool
tests_BalanceReport :: TestTree
instance Hledger.Data.Types.HasAmounts Hledger.Reports.BalanceReport.BalanceReportItem


-- | An account-centric transactions report.
module Hledger.Reports.AccountTransactionsReport

-- | An account transactions report represents transactions affecting a
--   particular account (or possibly several accounts, but we don't use
--   that). It is used eg by hledger-ui's and hledger-web's register view,
--   and hledger's aregister report, where we want to show one row per
--   transaction, in the context of the current account. Report items
--   consist of:
--   
--   <ul>
--   <li>the transaction, unmodified</li>
--   <li>the transaction as seen in the context of the current account and
--   query, which means:</li>
--   <li>the transaction date is set to the "transaction context date": the
--   earliest of the transaction date and any other posting dates of
--   postings to the current account (matched by the report query).</li>
--   <li>the transaction's postings are filtered, excluding any which are
--   not matched by the report query</li>
--   <li>a text description of the other account(s) posted to/from</li>
--   <li>a flag indicating whether there's more than one other account
--   involved</li>
--   <li>the total increase/decrease to the current account</li>
--   <li>the report transactions' running total after this transaction; or
--   if historical balance is requested (-H), the historical running total.
--   The historical running total includes transactions from before the
--   report start date if one is specified, filtered by the report query.
--   The historical running total may or may not be the account's
--   historical running balance, depending on the report query.</li>
--   </ul>
--   
--   Items are sorted by transaction register date (the earliest date the
--   transaction posts to the current account), most recent first.
--   Reporting intervals are currently ignored.
type AccountTransactionsReport = [AccountTransactionsReportItem]
type AccountTransactionsReportItem = (Transaction, Transaction, Bool, Text, MixedAmount, MixedAmount)
accountTransactionsReport :: ReportSpec -> Journal -> Query -> AccountTransactionsReport

-- | Generate transactions report items from a list of transactions, using
--   the provided user-specified report query, a query specifying which
--   account to use as the focus, a starting balance, and a sign-setting
--   function. Each transaction is accompanied by the date that should be
--   shown for it in the report. This is not necessarily the transaction
--   date - see transactionRegisterDate.
accountTransactionsReportItems :: Query -> Query -> MixedAmount -> (MixedAmount -> MixedAmount) -> (AccountName -> Maybe AccountType) -> [(Day, Transaction)] -> [AccountTransactionsReportItem]

-- | What date should be shown for a transaction in an account register
--   report ? This will be in context of a particular account (the "this
--   account" query) and any additional report query. It could be:
--   
--   <ul>
--   <li>if postings are matched by both thisacctq and reportq, the
--   earliest of those matched postings' dates (or their secondary dates if
--   --date2 was used)</li>
--   <li>the transaction date, or its secondary date if --date2 was
--   used.</li>
--   </ul>
transactionRegisterDate :: WhichDate -> Query -> Query -> Transaction -> Day
triOrigTransaction :: (a, b, c, d, e, f) -> a
triDate :: (a, Transaction, c, d, e, f) -> Day
triAmount :: (a, b, c, d, e, f) -> e
triBalance :: (a, b, c, d, e, f) -> f
triCommodityAmount :: CommoditySymbol -> (a, b, c, d, MixedAmount, f) -> MixedAmount
triCommodityBalance :: CommoditySymbol -> (a, b, c, d, e, MixedAmount) -> MixedAmount

-- | Split an account transactions report whose items may involve several
--   commodities, into one or more single-commodity account transactions
--   reports.
accountTransactionsReportByCommodity :: AccountTransactionsReport -> [(CommoditySymbol, AccountTransactionsReport)]
tests_AccountTransactionsReport :: TestTree
instance Hledger.Data.Types.HasAmounts Hledger.Reports.AccountTransactionsReport.AccountTransactionsReportItem


-- | Generate several common kinds of report from a journal, as "*Report" -
--   simple intermediate data structures intended to be easily rendered as
--   text, html, json, csv etc. by hledger commands, hamlet templates,
--   javascript, or whatever.
module Hledger.Reports
tests_Reports :: TestTree


-- | File reading/parsing utilities used by multiple readers, and a good
--   amount of the parsers for journal format, to avoid import cycles when
--   JournalReader imports other readers.
--   
--   Some of these might belong in Hledger.Read.JournalReader or
--   Hledger.Read.
module Hledger.Read.Common

-- | A hledger journal reader is a triple of storage format name, a
--   detector of that format, and a parser from that format to Journal. The
--   type variable m appears here so that rParserr can hold a journal
--   parser, which depends on it.
data Reader m
Reader :: StorageFormat -> [String] -> (InputOpts -> FilePath -> Text -> ExceptT String IO Journal) -> (MonadIO m => ErroringJournalParser m ParsedJournal) -> Reader m
[rFormat] :: Reader m -> StorageFormat
[rExtensions] :: Reader m -> [String]
[rReadFn] :: Reader m -> InputOpts -> FilePath -> Text -> ExceptT String IO Journal
[rParser] :: Reader m -> MonadIO m => ErroringJournalParser m ParsedJournal
data InputOpts
InputOpts :: Maybe StorageFormat -> Maybe FilePath -> [String] -> Bool -> Bool -> Bool -> String -> Maybe DateSpan -> Bool -> DateSpan -> Bool -> Bool -> Bool -> BalancingOpts -> Bool -> Day -> InputOpts

-- | a file/storage format to try, unless overridden by a filename prefix.
--   Nothing means try all.
[mformat_] :: InputOpts -> Maybe StorageFormat

-- | a conversion rules file to use (when reading CSV)
[mrules_file_] :: InputOpts -> Maybe FilePath

-- | account name aliases to apply
[aliases_] :: InputOpts -> [String]

-- | do light obfuscation of the data. Now corresponds to --obfuscate, not
--   the old --anon flag.
[anon_] :: InputOpts -> Bool

-- | read only new transactions since this file was last read
[new_] :: InputOpts -> Bool

-- | save latest new transactions state for next time
[new_save_] :: InputOpts -> Bool

-- | use the given field's value as the account name
[pivot_] :: InputOpts -> String

-- | span in which to generate forecast transactions
[forecast_] :: InputOpts -> Maybe DateSpan

-- | add user-visible tags when generating/modifying transactions &amp;
--   postings ?
[verbose_tags_] :: InputOpts -> Bool

-- | a dirty hack keeping the query dates in InputOpts. This rightfully
--   lives in ReportSpec, but is duplicated here.
[reportspan_] :: InputOpts -> DateSpan

-- | generate automatic postings when journal is parsed ?
[auto_] :: InputOpts -> Bool

-- | infer equity conversion postings from costs ?
[infer_equity_] :: InputOpts -> Bool

-- | infer costs from equity conversion postings ? distinct from
--   BalancingOpts{infer_balancing_costs_}
[infer_costs_] :: InputOpts -> Bool

-- | options for balancing transactions
[balancingopts_] :: InputOpts -> BalancingOpts

-- | do extra error checking (eg, all posted accounts are declared, no
--   prices are inferred)
[strict_] :: InputOpts -> Bool

-- | today's date, for use with forecast transactions XXX this duplicates
--   _rsDay, and should eventually be removed when it's not needed anymore.
[_ioDay] :: InputOpts -> Day
class HasInputOpts c_a4GcG
inputOpts :: HasInputOpts c_a4GcG => Lens' c_a4GcG InputOpts
aliases :: HasInputOpts c_a4GcG => Lens' c_a4GcG [String]
anon__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
auto__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
balancingopts :: HasInputOpts c_a4GcG => Lens' c_a4GcG BalancingOpts
forecast :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe DateSpan)
infer_costs :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
infer_equity :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
ioDay :: HasInputOpts c_a4GcG => Lens' c_a4GcG Day
mformat :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe StorageFormat)
mrules_file :: HasInputOpts c_a4GcG => Lens' c_a4GcG (Maybe FilePath)
new__ :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
new_save :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
pivot :: HasInputOpts c_a4GcG => Lens' c_a4GcG String
reportspan :: HasInputOpts c_a4GcG => Lens' c_a4GcG DateSpan
strict :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
verbose_tags :: HasInputOpts c_a4GcG => Lens' c_a4GcG Bool
definputopts :: InputOpts

-- | Parse an InputOpts from a RawOpts and a provided date. This will fail
--   with a usage error if the forecast period expression cannot be parsed.
rawOptsToInputOpts :: Day -> RawOpts -> InputOpts

-- | Given a parser to ParsedJournal, input options, file path and content:
--   run the parser on the content, and finalise the result to get a
--   Journal; or throw an error.
parseAndFinaliseJournal :: ErroringJournalParser IO ParsedJournal -> InputOpts -> FilePath -> Text -> ExceptT String IO Journal

-- | Given a parser to ParsedJournal, input options, file path and content:
--   run the parser on the content. This is all steps of
--   <a>parseAndFinaliseJournal</a> without the finalisation step, and is
--   used when you need to perform other actions before finalisation, as in
--   parsing Timeclock and Timedot files.
initialiseAndParseJournal :: ErroringJournalParser IO ParsedJournal -> InputOpts -> FilePath -> Text -> ExceptT String IO Journal

-- | Post-process a Journal that has just been parsed or generated, in this
--   order:
--   
--   <ul>
--   <li>add misc info (file path, read time)</li>
--   <li>reverse transactions into their original parse order</li>
--   <li>apply canonical commodity styles</li>
--   <li>add tags from account directives to postings' tags</li>
--   <li>add forecast transactions if enabled</li>
--   <li>add tags from account directives to postings' tags (again to
--   affect forecast transactions)</li>
--   <li>add auto postings if enabled</li>
--   <li>add tags from account directives to postings' tags (again to
--   affect auto postings)</li>
--   <li>evaluate balance assignments and balance each transaction</li>
--   <li>check balance assertions if enabled</li>
--   <li>infer equity postings in conversion transactions if enabled</li>
--   <li>infer market prices from costs if enabled</li>
--   <li>check all accounts have been declared if in strict mode</li>
--   <li>check all commodities have been declared if in strict mode</li>
--   </ul>
journalFinalise :: InputOpts -> FilePath -> Text -> ParsedJournal -> ExceptT String IO Journal

-- | Generate periodic transactions from all periodic transaction rules in
--   the journal. These transactions are added to the in-memory Journal
--   (but not the on-disk file).
--   
--   The start &amp; end date for generated periodic transactions are
--   determined in a somewhat complicated way; see the hledger manual -&gt;
--   Periodic transactions.
journalAddForecast :: Bool -> Maybe DateSpan -> Journal -> Journal

-- | Apply any auto posting rules to generate extra postings on this
--   journal's transactions. With a true first argument, adds visible tags
--   to generated postings and modified transactions.
journalAddAutoPostings :: Bool -> Day -> BalancingOpts -> Journal -> Either String Journal
setYear :: Year -> JournalParser m ()
getYear :: JournalParser m (Maybe Year)
setDefaultCommodityAndStyle :: (CommoditySymbol, AmountStyle) -> JournalParser m ()
getDefaultCommodityAndStyle :: JournalParser m (Maybe (CommoditySymbol, AmountStyle))

-- | Get amount style associated with default currency.
--   
--   Returns <a>AmountStyle</a> used to defined by a latest default
--   commodity directive prior to current position within this file or its
--   parents.
getDefaultAmountStyle :: JournalParser m (Maybe AmountStyle)

-- | Get the <a>AmountStyle</a> declared by the most recently parsed (in
--   the current or parent files, prior to the current position) commodity
--   directive for the given commodity, if any.
getAmountStyle :: CommoditySymbol -> JournalParser m (Maybe AmountStyle)
addDeclaredAccountTags :: AccountName -> [Tag] -> JournalParser m ()
addDeclaredAccountType :: AccountName -> AccountType -> JournalParser m ()
pushParentAccount :: AccountName -> JournalParser m ()
popParentAccount :: JournalParser m ()
getParentAccount :: JournalParser m AccountName
addAccountAlias :: MonadState Journal m => AccountAlias -> m ()
getAccountAliases :: MonadState Journal m => m [AccountAlias]
clearAccountAliases :: MonadState Journal m => m ()
journalAddFile :: (FilePath, Text) -> Journal -> Journal
statusp :: TextParser m Status
codep :: TextParser m Text

-- | Parse possibly empty text until a semicolon or newline. Whitespace is
--   preserved (for now - perhaps helps preserve alignment of same-line
--   comments ?).
descriptionp :: TextParser m Text

-- | Parse a date in YYYY-MM-DD format. Slash (/) and period (.) are also
--   allowed as separators. The year may be omitted if a default year has
--   been set. Leading zeroes may be omitted.
datep :: JournalParser m Day

-- | Parse a date and time in YYYY-MM-DD HH:MM[:SS][+-ZZZZ] format. Slash
--   (/) and period (.) are also allowed as date separators. The year may
--   be omitted if a default year has been set. Seconds are optional. The
--   timezone is optional and ignored (the time is always interpreted as a
--   local time). Leading zeroes may be omitted (except in a timezone).
datetimep :: JournalParser m LocalTime
secondarydatep :: Day -> TextParser m Day

-- | Parse an account name (plus one following space if present), then
--   apply any parent account prefix and/or account aliases currently in
--   effect, in that order. (Ie first add the parent account prefix, then
--   rewrite with aliases). This calls error if any account alias with an
--   invalid regular expression exists.
modifiedaccountnamep :: JournalParser m AccountName

-- | Parse an account name, plus one following space if present. Account
--   names have one or more parts separated by the account separator
--   character, and are terminated by two or more spaces (or end of input).
--   Each part is at least one character long, may have single spaces
--   inside it, and starts with a non-whitespace. Note, this means
--   "{account}", "%^!" and ";comment" are all accepted (parent parsers
--   usually prevent/consume the last). It should have required parts to
--   start with an alphanumeric; for now it remains as-is for backwards
--   compatibility.
accountnamep :: TextParser m AccountName
accountaliasp :: TextParser m AccountAlias

-- | Parse whitespace then an amount, or return the special "missing"
--   marker amount.
spaceandamountormissingp :: JournalParser m MixedAmount

-- | Parse a single-commodity amount, applying the default commodity if
--   there is no commodity symbol; optionally followed by, in any order: a
--   Ledger-style cost, Ledger-style valuation expression, and/or
--   Ledger-style cost basis, which is one or more of lot cost, lot date,
--   and/or lot note (we loosely call this triple the lot's cost basis).
--   The cost basis makes it a lot rather than just an amount. Both cost
--   basis info and valuation expression are discarded for now. The main
--   amount's sign is significant; here are the possibilities and their
--   interpretation. Also imagine an optional VALUATIONEXPR added to any of
--   these (omitted for clarity): @
--   
--   AMT -- acquiring an amount AMT COST -- acquiring an amount at some
--   cost AMT COST COSTBASIS -- acquiring a lot at some cost, saving its
--   cost basis AMT COSTBASIS COST -- like the above AMT COSTBASIS -- like
--   the above with cost same as the cost basis
--   
--   <ul>
--   <li>AMT -- releasing an amount</li>
--   <li>AMT SELLPRICE -- releasing an amount at some selling price</li>
--   <li>AMT SELLPRICE COSTBASISSEL -- releasing a lot at some selling
--   price, selecting it by its cost basis</li>
--   <li>AMT COSTBASISSEL SELLPRICE -- like the above</li>
--   <li>AMT COSTBASISSEL -- like the above with selling price same as the
--   selected lot's cost basis amount</li>
--   </ul>
--   
--   COST/SELLPRICE can be <tt> UNITAMT, </tt><tt> TOTALAMT, (</tt>)
--   UNITAMT, or (@@) TOTALAMT. The () are ignored. COSTBASIS is one or
--   more of {LOTCOST}, [LOTDATE], (LOTNOTE), in any order, with LOTCOST
--   defaulting to COST. COSTBASISSEL is one or more of {LOTCOST},
--   [LOTDATE], (LOTNOTE), in any order. {LOTCOST} can be {UNITAMT},
--   {{TOTALAMT}}, {=UNITAMT}, or {{=TOTALAMT}}. The = is ignored.
--   VALUATIONEXPR can be ((VALUE AMOUNT)) or ((VALUE FUNCTION)).
--   
--   @ Ledger amount syntax is really complex. Rule of thumb: curly braces,
--   parentheses, and/or square brackets in an amount means a Ledger-style
--   cost basis is involved.
--   
--   To parse an amount's numeric quantity we need to know which character
--   represents a decimal mark. We find it in one of three ways:
--   
--   <ol>
--   <li>If a decimal mark has been set explicitly in the journal parse
--   state, we use that</li>
--   <li>Or if the journal has a commodity declaration for the amount's
--   commodity, we get the decimal mark from that</li>
--   <li>Otherwise we will parse any valid decimal mark appearing in the
--   number, as long as the number appears well formed. (This means we
--   handle files with any supported decimal mark without configuration,
--   but it also allows different decimal marks in different amounts, which
--   is a bit too loose. There's an open issue.)</li>
--   </ol>
amountp :: JournalParser m Amount
amountp' :: Bool -> JournalParser m Amount
commoditysymbolp :: TextParser m CommoditySymbol

-- | Ledger-style cost notation: <tt> UNITAMT, </tt><tt> TOTALAMT, (</tt>)
--   UNITAMT, or (@@) TOTALAMT. The () are ignored.
costp :: Amount -> JournalParser m AmountPrice
balanceassertionp :: JournalParser m BalanceAssertion
lotcostp :: JournalParser m ()

-- | Parse a string representation of a number for its value and display
--   attributes.
--   
--   Some international number formats are accepted, eg either period or
--   comma may be used for the decimal mark, and the other of these may be
--   used for separating digit groups in the integer part. See
--   <a>http://en.wikipedia.org/wiki/Decimal_separator</a> for more
--   examples.
--   
--   This returns: the parsed numeric value, the precision (number of
--   digits seen following the decimal mark), the decimal mark character
--   used if any, and the digit group style if any.
numberp :: Maybe AmountStyle -> TextParser m (Quantity, Word8, Maybe Char, Maybe DigitGroupStyle)

-- | Interpret a raw number as a decimal number.
--   
--   Returns: - the decimal number - the precision (number of digits after
--   the decimal point) - the decimal point character, if any - the digit
--   group style, if any (digit group character and sizes of digit groups)
fromRawNumber :: RawNumber -> Maybe Integer -> Either String (Quantity, Word8, Maybe Char, Maybe DigitGroupStyle)

-- | Parse and interpret the structure of a number without external hints.
--   Numbers are digit strings, possibly separated into digit groups by one
--   of two types of separators. (1) Numbers may optionally have a decimal
--   mark, which may be either a period or comma. (2) Numbers may
--   optionally contain digit group marks, which must all be either a
--   period, a comma, or a space.
--   
--   It is our task to deduce the characters used as decimal mark and digit
--   group mark, based on the allowed syntax. For instance, we make use of
--   the fact that a decimal mark can occur at most once and must be to the
--   right of all digit group marks.
--   
--   <pre>
--   &gt;&gt;&gt; parseTest rawnumberp "1,234,567.89"
--   Right (WithSeparators ',' ["1","234","567"] (Just ('.',"89")))
--   
--   &gt;&gt;&gt; parseTest rawnumberp "1,000"
--   Left (AmbiguousNumber "1" ',' "000")
--   
--   &gt;&gt;&gt; parseTest rawnumberp "1 000"
--   Right (WithSeparators ' ' ["1","000"] Nothing)
--   </pre>
rawnumberp :: TextParser m (Either AmbiguousNumber RawNumber)

-- | Try to parse a single-commodity amount from a string
parseamount :: String -> Either HledgerParseErrors Amount

-- | Parse a single-commodity amount from a string, or get an error.
parseamount' :: String -> Amount

-- | Like parseamount', but returns a MixedAmount.
parsemixedamount :: String -> Either HledgerParseErrors MixedAmount

-- | Like parseamount', but returns a MixedAmount.
parsemixedamount' :: String -> MixedAmount

-- | Is this a character that, as the first non-whitespace on a line,
--   starts a comment line ?
isLineCommentStart :: Char -> Bool

-- | Is this a character that, appearing anywhere within a line, starts a
--   comment ?
isSameLineCommentStart :: Char -> Bool
multilinecommentp :: TextParser m ()

-- | A blank or comment line in journal format: a line that's empty or
--   containing only whitespace or whose first non-whitespace character is
--   semicolon, hash, or star.
emptyorcommentlinep :: TextParser m ()

-- | Parse the text of a (possibly multiline) comment following a journal
--   item.
--   
--   <pre>
--   &gt;&gt;&gt; rtp followingcommentp ""   -- no comment
--   Right ""
--   
--   &gt;&gt;&gt; rtp followingcommentp ";"    -- just a (empty) same-line comment. newline is added
--   Right "\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp ";  \n"
--   Right "\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp ";\n ;\n"  -- a same-line and a next-line comment
--   Right "\n\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp "\n ;\n"  -- just a next-line comment. Insert an empty same-line comment so the next-line comment doesn't become a same-line comment.
--   Right "\n\n"
--   </pre>
followingcommentp :: TextParser m Text

-- | Parse a transaction comment and extract its tags.
--   
--   The first line of a transaction may be followed by comments, which
--   begin with semicolons and extend to the end of the line. Transaction
--   comments may span multiple lines, but comment lines below the
--   transaction must be preceded by leading whitespace.
--   
--   2000<i>1</i>1 ; a transaction comment starting on the same line ... ;
--   extending to the next line account1 $1 account2
--   
--   Tags are name-value pairs.
--   
--   <pre>
--   &gt;&gt;&gt; let getTags (_,tags) = tags
--   
--   &gt;&gt;&gt; let parseTags = fmap getTags . rtp transactioncommentp
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; parseTags "; name1: val1, name2:all this is value2"
--   Right [("name1","val1"),("name2","all this is value2")]
--   </pre>
--   
--   A tag's name must be immediately followed by a colon, without
--   separating whitespace. The corresponding value consists of all the
--   text following the colon up until the next colon or newline, stripped
--   of leading and trailing whitespace.
transactioncommentp :: TextParser m (Text, [Tag])
commenttagsp :: TextParser m [Tag]

-- | Parse a posting comment and extract its tags and dates.
--   
--   Postings may be followed by comments, which begin with semicolons and
--   extend to the end of the line. Posting comments may span multiple
--   lines, but comment lines below the posting must be preceded by leading
--   whitespace.
--   
--   2000<i>1</i>1 account1 $1 ; a posting comment starting on the same
--   line ... ; extending to the next line
--   
--   account2 ; a posting comment beginning on the next line
--   
--   Tags are name-value pairs.
--   
--   <pre>
--   &gt;&gt;&gt; let getTags (_,tags,_,_) = tags
--   
--   &gt;&gt;&gt; let parseTags = fmap getTags . rtp (postingcommentp Nothing)
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; parseTags "; name1: val1, name2:all this is value2"
--   Right [("name1","val1"),("name2","all this is value2")]
--   </pre>
--   
--   A tag's name must be immediately followed by a colon, without
--   separating whitespace. The corresponding value consists of all the
--   text following the colon up until the next colon or newline, stripped
--   of leading and trailing whitespace.
--   
--   Posting dates may be expressed with "date"/"date2" tags or with
--   bracketed date syntax. Posting dates will inherit their year from the
--   transaction date if the year is not specified. We throw parse errors
--   on invalid dates.
--   
--   <pre>
--   &gt;&gt;&gt; let getDates (_,_,d1,d2) = (d1, d2)
--   
--   &gt;&gt;&gt; let parseDates = fmap getDates . rtp (postingcommentp (Just 2000))
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; parseDates "; date: 1/2, date2: 1999/12/31"
--   Right (Just 2000-01-02,Just 1999-12-31)
--   
--   &gt;&gt;&gt; parseDates "; [1/2=1999/12/31]"
--   Right (Just 2000-01-02,Just 1999-12-31)
--   </pre>
--   
--   Example: tags, date tags, and bracketed dates &gt;&gt;&gt; rtp
--   (postingcommentp (Just 2000)) "; a:b, date:3<i>4, [=5</i>6]" Right
--   ("a:b, date:3<i>4, [=5</i>6]n",[("a","b"),("date","3/4")],Just
--   2000-03-04,Just 2000-05-06)
--   
--   Example: extraction of dates from date tags ignores trailing text
--   &gt;&gt;&gt; rtp (postingcommentp (Just 2000)) "; date:3<i>4=5</i>6"
--   Right ("date:3<i>4=5</i>6n",[("date","3<i>4=5</i>6")],Just
--   2000-03-04,Nothing)
postingcommentp :: Maybe Year -> TextParser m (Text, [Tag], Maybe Day, Maybe Day)

-- | Parse Ledger-style bracketed posting dates ([DATE=DATE2]), as "date"
--   and/or "date2" tags. Anything that looks like an attempt at this (a
--   square-bracketed sequence of 0123456789/-.= containing at least one
--   digit and one date separator) is also parsed, and will throw an
--   appropriate error.
--   
--   The dates are parsed in full here so that errors are reported in the
--   right position. A missing year in DATE can be inferred if a default
--   date is provided. A missing year in DATE2 will be inferred from DATE.
--   
--   <pre>
--   &gt;&gt;&gt; either (Left . customErrorBundlePretty) Right $ rtp (bracketeddatetagsp Nothing) "[2016/1/2=3/4]"
--   Right [("date",2016-01-02),("date2",2016-03-04)]
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; either (Left . customErrorBundlePretty) Right $ rtp (bracketeddatetagsp Nothing) "[1]"
--   Left ...not a bracketed date...
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; either (Left . customErrorBundlePretty) Right $ rtp (bracketeddatetagsp Nothing) "[2016/1/32]"
--   Left ...1:2:...This date is invalid...
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; either (Left . customErrorBundlePretty) Right $ rtp (bracketeddatetagsp Nothing) "[1/31]"
--   Left ...1:2:...The partial date 1/31 can not be parsed...
--   </pre>
--   
--   <pre>
--   &gt;&gt;&gt; either (Left . customErrorBundlePretty) Right $ rtp (bracketeddatetagsp Nothing) "[0123456789/-.=/-.=]"
--   Left ...1:13:...expecting month or day...
--   </pre>
bracketeddatetagsp :: Maybe Year -> TextParser m [(TagName, Day)]

-- | Parse a single line of possibly empty text enclosed in double quotes.
doublequotedtextp :: TextParser m Text

-- | Parse possibly empty text, including whitespace, until a comment start
--   (semicolon) or newline.
noncommenttextp :: TextParser m Text

-- | Parse non-empty text, including whitespace, until a comment start
--   (semicolon) or newline.
noncommenttext1p :: TextParser m Text

-- | Parse non-empty, single-spaced text starting and ending with
--   non-whitespace, until a double space or newline.
singlespacedtext1p :: TextParser m Text

-- | Parse non-empty, single-spaced text starting and ending with
--   non-whitespace, until a comment start (semicolon), double space, or
--   newline.
singlespacednoncommenttext1p :: TextParser m Text

-- | Parse non-empty, single-spaced text starting and ending with
--   non-whitespace, where all characters satisfy the given predicate.
singlespacedtextsatisfying1p :: (Char -> Bool) -> TextParser m Text

-- | Parse one non-newline whitespace character that is not followed by
--   another one.
singlespacep :: TextParser m ()
skipNonNewlineSpaces :: (Stream s, Token s ~ Char) => ParsecT HledgerParseErrorData s m ()
skipNonNewlineSpaces1 :: (Stream s, Token s ~ Char) => ParsecT HledgerParseErrorData s m ()

-- | Get the account name aliases from options, if any.
aliasesFromOpts :: InputOpts -> [AccountAlias]
tests_Common :: TestTree
instance GHC.Classes.Eq Hledger.Read.Common.DigitGrp
instance GHC.Classes.Eq Hledger.Read.Common.AmbiguousNumber
instance GHC.Show.Show Hledger.Read.Common.AmbiguousNumber
instance GHC.Classes.Eq Hledger.Read.Common.RawNumber
instance GHC.Show.Show Hledger.Read.Common.RawNumber
instance GHC.Show.Show Hledger.Read.Common.DigitGrp
instance GHC.Base.Semigroup Hledger.Read.Common.DigitGrp
instance GHC.Base.Monoid Hledger.Read.Common.DigitGrp
instance GHC.Show.Show (Hledger.Read.Common.Reader m)


-- | A reader for the "timedot" file format. Example:
--   
--   <pre>
--   ;DATE
--   ;ACCT  DOTS  # Each dot represents 15m, spaces are ignored
--   ;ACCT  8    # numbers with or without a following h represent hours
--   ;ACCT  5m   # numbers followed by m represent minutes
--   
--   ; on 2/1, 1h was spent on FOSS haskell work, 0.25h on research, etc.
--   2/1
--   fos.haskell   .... ..
--   biz.research  .
--   inc.client1   .... .... .... .... .... ....
--   
--   2/2
--   biz.research  .
--   inc.client1   .... .... ..
--   </pre>
module Hledger.Read.TimedotReader
reader :: MonadIO m => Reader m
timedotfilep :: forall {m :: Type -> Type}. JournalParser m ParsedJournal


-- | A reader for the timeclock file format generated by timeclock.el
--   (<a>http://www.emacswiki.org/emacs/TimeClock</a>). Example:
--   
--   <pre>
--   i 2007/03/10 12:26:00 hledger
--   o 2007/03/10 17:26:02
--   </pre>
--   
--   From timeclock.el 2.6:
--   
--   <pre>
--   A timeclock contains data in the form of a single entry per line.
--   Each entry has the form:
--   
--     CODE YYYY<i>MM</i>DD HH:MM:SS [COMMENT]
--   
--   CODE is one of: b, h, i, o or O.  COMMENT is optional when the code is
--   i, o or O.  The meanings of the codes are:
--   
--     b  Set the current time balance, or "time debt".  Useful when
--        archiving old log data, when a debt must be carried forward.
--        The COMMENT here is the number of seconds of debt.
--   
--     h  Set the required working time for the given day.  This must
--        be the first entry for that day.  The COMMENT in this case is
--        the number of hours in this workday.  Floating point amounts
--        are allowed.
--   
--     i  Clock in.  The COMMENT in this case should be the name of the
--        project worked on.
--   
--     o  Clock out.  COMMENT is unnecessary, but can be used to provide
--        a description of how the period went, for example.
--   
--     O  Final clock out.  Whatever project was being worked on, it is
--        now finished.  Useful for creating summary reports.
--   </pre>
module Hledger.Read.TimeclockReader
reader :: MonadIO m => Reader m
timeclockfilep :: MonadIO m => JournalParser m ParsedJournal


-- | A reader for a CSV rules file. This reads the actual data from a file
--   specified by a <tt>source</tt> rule or from a similarly-named file in
--   the same directory.
--   
--   Most of the code for reading rules files and csv files is in this
--   module.
module Hledger.Read.RulesReader
reader :: MonadIO m => Reader m

-- | Read a Journal from the given CSV data (and filename, used for error
--   messages), or return an error. Proceed as follows:
--   
--   <ol>
--   <li>Conversion rules are provided, or they are parsed from the
--   specified rules file, or from the default rules file for the CSV data
--   file. If rules parsing fails, or the required rules file does not
--   exist, throw an error.</li>
--   <li>Parse the CSV data using the rules, or throw an error.</li>
--   <li>Convert the CSV records to hledger transactions using the
--   rules.</li>
--   <li>Return the transactions as a Journal.</li>
--   </ol>
readJournalFromCsv :: Maybe (Either CsvRules FilePath) -> FilePath -> Text -> ExceptT String IO Journal

-- | Given a rules file path, what would be the corresponding data file ?
--   (Remove a .rules extension.)
dataFileFor :: FilePath -> Maybe FilePath

-- | Given a csv file path, what would be the corresponding rules file ?
--   (Add a .rules extension.)
rulesFileFor :: FilePath -> FilePath
tests_RulesReader :: TestTree
instance GHC.Classes.Eq Hledger.Read.RulesReader.MatcherPrefix
instance GHC.Show.Show Hledger.Read.RulesReader.MatcherPrefix
instance GHC.Classes.Eq Hledger.Read.RulesReader.Matcher
instance GHC.Show.Show Hledger.Read.RulesReader.Matcher
instance GHC.Classes.Eq Hledger.Read.RulesReader.ConditionalBlock
instance GHC.Show.Show Hledger.Read.RulesReader.ConditionalBlock
instance GHC.Classes.Eq Hledger.Read.RulesReader.CsvRules
instance GHC.Show.Show Hledger.Read.RulesReader.CsvRules
instance Text.Megaparsec.Error.ShowErrorComponent GHC.Base.String


-- | A reader for CSV (character-separated) data. This also reads a rules
--   file to help interpret the CSV data.
module Hledger.Read.CsvReader
reader :: MonadIO m => Reader m
tests_CsvReader :: TestTree


-- | A reader for hledger's journal file format
--   (<a>http://hledger.org/hledger.html#the-journal-file</a>). hledger's
--   journal format is a compatible subset of c++ ledger's
--   (<a>http://ledger-cli.org/3.0/doc/ledger3.html#Journal-Format</a>), so
--   this reader should handle many ledger files as well. Example:
--   
--   <pre>
--   2012/3/24 gift
--       expenses:gifts  $10
--       assets:cash
--   </pre>
--   
--   Journal format supports the include directive which can read files in
--   other formats, so the other file format readers need to be importable
--   and invocable here.
--   
--   Some important parts of journal parsing are therefore kept in
--   Hledger.Read.Common, to avoid import cycles.
module Hledger.Read.JournalReader

-- | <pre>
--   findReader mformat mpath
--   </pre>
--   
--   Find the reader named by <tt>mformat</tt>, if provided. Or, if a file
--   path is provided, find the first reader that handles its file
--   extension, if any.
findReader :: MonadIO m => Maybe StorageFormat -> Maybe FilePath -> Maybe (Reader m)

-- | If a filepath is prefixed by one of the reader names and a colon,
--   split that off. Eg "csv:-" -&gt; (Just "csv", "-").
splitReaderPrefix :: PrefixedFilePath -> (Maybe String, FilePath)
reader :: MonadIO m => Reader m

-- | Given a parser to ParsedJournal, input options, file path and content:
--   run the parser on the content, and finalise the result to get a
--   Journal; or throw an error.
parseAndFinaliseJournal :: ErroringJournalParser IO ParsedJournal -> InputOpts -> FilePath -> Text -> ExceptT String IO Journal

-- | Run a journal parser in some monad. See also: parseWithState.
runJournalParser :: Monad m => JournalParser m a -> Text -> m (Either HledgerParseErrors a)

-- | Run a journal parser in some monad. See also: parseWithState.
rjp :: Monad m => JournalParser m a -> Text -> m (Either HledgerParseErrors a)

-- | Run an erroring journal parser in some monad. See also:
--   parseWithState.
runErroringJournalParser :: Monad m => ErroringJournalParser m a -> Text -> m (Either FinalParseError (Either HledgerParseErrors a))

-- | Run an erroring journal parser in some monad. See also:
--   parseWithState.
rejp :: Monad m => ErroringJournalParser m a -> Text -> m (Either FinalParseError (Either HledgerParseErrors a))
getParentAccount :: JournalParser m AccountName

-- | A journal parser. Accumulates and returns a <a>ParsedJournal</a>,
--   which should be finalised/validated before use.
--   
--   <pre>
--   &gt;&gt;&gt; rejp (journalp &lt;* eof) "2015/1/1\n a  0\n"
--   Right (Right Journal (unknown) with 1 transactions, 1 accounts)
--   </pre>
journalp :: MonadIO m => ErroringJournalParser m ParsedJournal

-- | Parse any journal directive and update the parse state accordingly. Cf
--   <a>http://hledger.org/hledger.html#directives</a>,
--   <a>http://ledger-cli.org/3.0/doc/ledger3.html#Command-Directives</a>
directivep :: MonadIO m => ErroringJournalParser m ()
defaultyeardirectivep :: JournalParser m ()
marketpricedirectivep :: JournalParser m PriceDirective

-- | Parse a date and time in YYYY-MM-DD HH:MM[:SS][+-ZZZZ] format. Slash
--   (/) and period (.) are also allowed as date separators. The year may
--   be omitted if a default year has been set. Seconds are optional. The
--   timezone is optional and ignored (the time is always interpreted as a
--   local time). Leading zeroes may be omitted (except in a timezone).
datetimep :: JournalParser m LocalTime

-- | Parse a date in YYYY-MM-DD format. Slash (/) and period (.) are also
--   allowed as separators. The year may be omitted if a default year has
--   been set. Leading zeroes may be omitted.
datep :: JournalParser m Day

-- | Parse an account name (plus one following space if present), then
--   apply any parent account prefix and/or account aliases currently in
--   effect, in that order. (Ie first add the parent account prefix, then
--   rewrite with aliases). This calls error if any account alias with an
--   invalid regular expression exists.
modifiedaccountnamep :: JournalParser m AccountName
tmpostingrulep :: Maybe Year -> JournalParser m TMPostingRule
statusp :: TextParser m Status

-- | A blank or comment line in journal format: a line that's empty or
--   containing only whitespace or whose first non-whitespace character is
--   semicolon, hash, or star.
emptyorcommentlinep :: TextParser m ()

-- | Parse the text of a (possibly multiline) comment following a journal
--   item.
--   
--   <pre>
--   &gt;&gt;&gt; rtp followingcommentp ""   -- no comment
--   Right ""
--   
--   &gt;&gt;&gt; rtp followingcommentp ";"    -- just a (empty) same-line comment. newline is added
--   Right "\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp ";  \n"
--   Right "\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp ";\n ;\n"  -- a same-line and a next-line comment
--   Right "\n\n"
--   
--   &gt;&gt;&gt; rtp followingcommentp "\n ;\n"  -- just a next-line comment. Insert an empty same-line comment so the next-line comment doesn't become a same-line comment.
--   Right "\n\n"
--   </pre>
followingcommentp :: TextParser m Text
accountaliasp :: TextParser m AccountAlias
tests_JournalReader :: TestTree


-- | This is the entry point to hledger's reading system, which can read
--   Journals from various data formats. Use this module if you want to
--   parse journal data or read journal files. Generally it should not be
--   necessary to import modules below this one.
--   
--   <h2>Journal reading</h2>
--   
--   Reading an input file (in journal, csv, timedot, or timeclock
--   format..) involves these steps:
--   
--   <ul>
--   <li>select an appropriate file format "reader" based on filename
--   extension<i>file path prefix</i>function parameter. A reader contains
--   a parser and a finaliser (usually <tt>journalFinalise</tt>).</li>
--   <li>run the parser to get a ParsedJournal (this may run additional
--   sub-parsers to parse included files)</li>
--   <li>run the finaliser to get a complete Journal, which passes standard
--   checks</li>
--   <li>if reading multiple files: merge the per-file Journals into one
--   overall Journal</li>
--   <li>if using -s/--strict: run additional strict checks</li>
--   <li>if running print --new: save .latest files for each input file.
--   (import also does this, as its final step.)</li>
--   </ul>
--   
--   <h2>Journal merging</h2>
--   
--   Journal implements the Semigroup class, so two Journals can be merged
--   into one Journal with <tt>j1 &lt;&gt; j2</tt>. This is implemented by
--   the <tt>journalConcat</tt> function, whose documentation explains what
--   merging Journals means exactly.
--   
--   <h2>Journal finalising</h2>
--   
--   This is post-processing done after parsing an input file, such as
--   inferring missing information, normalising amount styles, checking for
--   errors and so on - a delicate and influential stage of data
--   processing. In hledger it is done by <tt>journalFinalise</tt>, which
--   converts a preliminary ParsedJournal to a validated, ready-to-use
--   Journal. This is called immediately after the parsing of each input
--   file. It is not called when Journals are merged.
--   
--   <h2>Journal reading API</h2>
--   
--   There are three main Journal-reading functions:
--   
--   <ul>
--   <li>readJournal to read from a Text value. Selects a reader and calls
--   its parser and finaliser, then does strict checking if needed.</li>
--   <li>readJournalFile to read one file, or stdin if the file path is
--   <tt>-</tt>. Uses the file path/file name to help select the reader,
--   calls readJournal, then writes .latest files if needed.</li>
--   <li>readJournalFiles to read multiple files. Calls readJournalFile for
--   each file (without strict checking or .latest file writing) then
--   merges the Journals into one, then does strict checking and .latest
--   file writing at the end if needed.</li>
--   </ul>
--   
--   Each of these also has an easier variant with ' suffix, which uses
--   default options and has a simpler type signature.
--   
--   One more variant, <tt>readJournalFilesAndLatestDates</tt>, is like
--   readJournalFiles but exposing the latest transaction date (and how
--   many on the same day) seen for each file. This is used by the import
--   command.
module Hledger.Read

-- | A file path optionally prefixed by a reader name and colon (journal:,
--   csv:, timedot:, etc.).
type PrefixedFilePath = FilePath

-- | Read the default journal file specified by the environment, or raise
--   an error.
defaultJournal :: IO Journal

-- | Get the default journal file path specified by the environment. Like
--   ledger, we look first for the LEDGER_FILE environment variable, and if
--   that does not exist, for the legacy LEDGER environment variable. If
--   neither is set, or the value is blank, return the hard-coded default,
--   which is <tt>.hledger.journal</tt> in the users's home directory (or
--   in the current directory, if we cannot determine a home directory).
defaultJournalPath :: IO String

-- | If the specified journal file does not exist (and is not "-"), give a
--   helpful error and quit.
requireJournalFileExists :: FilePath -> IO ()

-- | Ensure there is a journal file at the given path, creating an empty
--   one if needed. On Windows, also ensure that the path contains no
--   trailing dots which could cause data loss (see
--   <a>isWindowsUnsafeDotPath</a>).
ensureJournalFileExists :: FilePath -> IO ()
runExceptT :: ExceptT e m a -> m (Either e a)

-- | <pre>
--   readJournal iopts mfile txt
--   </pre>
--   
--   Read a Journal from some text, with strict checks if enabled, or
--   return an error message.
--   
--   The reader (data format) is chosen based on, in this order:
--   
--   <ul>
--   <li>a reader name provided in <tt>iopts</tt></li>
--   <li>a reader prefix in the <tt>mfile</tt> path</li>
--   <li>a file extension in <tt>mfile</tt></li>
--   </ul>
--   
--   If none of these is available, or if the reader name is unrecognised,
--   we use the journal reader (for predictability).
readJournal :: InputOpts -> Maybe FilePath -> Text -> ExceptT String IO Journal

-- | Read a Journal from this file, or from stdin if the file path is -,
--   with strict checks if enabled, or return an error message. The file
--   path can have a READER: prefix.
--   
--   The reader (data format) to use is determined from (in priority
--   order): the <tt>mformat_</tt> specified in the input options, if any;
--   the file path's READER: prefix, if any; a recognised file name
--   extension. if none of these identify a known reader, the journal
--   reader is used.
--   
--   The input options can also configure balance assertion checking,
--   automated posting generation, a rules file for converting CSV data,
--   etc.
--   
--   If using --new, and if latest-file writing is enabled in input
--   options, and after passing strict checks if enabled, a .latest.FILE
--   file will be created/updated (for the main file only, not for included
--   files), to remember the latest transaction date (and how many
--   transactions on this date) successfully read.
readJournalFile :: InputOpts -> PrefixedFilePath -> ExceptT String IO Journal

-- | Read a Journal from each specified file path (using
--   <tt>readJournalFile</tt>) and combine them into one; or return the
--   first error message. Strict checks, if enabled, are deferred till the
--   end. Writing .latest files, if enabled, is also deferred till the end,
--   and happens only if strict checks pass.
--   
--   Combining Journals means concatenating them, basically. The parse
--   state resets at the start of each file, which means that directives
--   &amp; aliases do not affect subsequent sibling or parent files. They
--   do affect included child files though. Also the final parse state
--   saved in the Journal does span all files.
readJournalFiles :: InputOpts -> [PrefixedFilePath] -> ExceptT String IO Journal
readJournalFilesAndLatestDates :: InputOpts -> [PrefixedFilePath] -> ExceptT String IO (Journal, [LatestDatesForFile])

-- | An easy version of <a>readJournal</a> which assumes default options,
--   and fails in the IO monad.
readJournal' :: Text -> IO Journal

-- | An easy version of <a>readJournalFile</a> which assumes default
--   options, and fails in the IO monad.
readJournalFile' :: PrefixedFilePath -> IO Journal

-- | An easy version of <a>readJournalFiles'</a> which assumes default
--   options, and fails in the IO monad.
readJournalFiles' :: [PrefixedFilePath] -> IO Journal

-- | Extract ExceptT to the IO monad, failing with an error message if
--   necessary.
orDieTrying :: MonadIO m => ExceptT String m a -> m a

-- | Run the extra -s/--strict checks on a journal, returning the first
--   error message if any of them fail.
journalStrictChecks :: Journal -> Either String ()

-- | Save the given latest date(s) seen in the given data FILE, in a hidden
--   file named .latest.FILE, creating it if needed.
saveLatestDates :: LatestDates -> FilePath -> IO ()

-- | Save each file's latest dates.
saveLatestDatesForFiles :: [LatestDatesForFile] -> IO ()
tmpostingrulep :: Maybe Year -> JournalParser m TMPostingRule

-- | <pre>
--   findReader mformat mpath
--   </pre>
--   
--   Find the reader named by <tt>mformat</tt>, if provided. Or, if a file
--   path is provided, find the first reader that handles its file
--   extension, if any.
findReader :: MonadIO m => Maybe StorageFormat -> Maybe FilePath -> Maybe (Reader m)

-- | If a filepath is prefixed by one of the reader names and a colon,
--   split that off. Eg "csv:-" -&gt; (Just "csv", "-").
splitReaderPrefix :: PrefixedFilePath -> (Maybe String, FilePath)

-- | Run a journal parser in some monad. See also: parseWithState.
runJournalParser :: Monad m => JournalParser m a -> Text -> m (Either HledgerParseErrors a)
tests_Read :: TestTree


-- | This is the root of the <tt>hledger-lib</tt> package and the
--   <tt>Hledger.*</tt> module hierarchy. hledger-lib is the core engine
--   used by various hledger UIs and tools, providing the main data types,
--   file format parsers, reporting logic, and utilities.
module Hledger
tests_Hledger :: TestTree
