Looks like PP does some weird things for some securities I’ve sold short in the past.
My log file is filled with errors like this:
Negative holdings during FIFO cost calculation. Holdings: -30 Security: Name of Security
Under performance you can see that the Purchase Price strangely is exactly the same for 2 different securities I’ve sold short in the past. Apart from the fact the the price makes no sense…
Any ideas on how I can rid of these errors?