- Count broker deposits and withdrawals only when matched to a transfer on another family account, while retaining real explicit top-ups and withdrawals.
## [Backend 0.15.1] - 2026-08-28
### Fixed
- Excluded internal transfers for pending securities purchases from broker contributions.
pool.query<PerformanceCashRow>(`SELECT a.id AS account_id, a.alias, a.bank, a.account_number, t.amount_signed, t.description FROM accounts a JOIN transactions t ON t.account_id = a.id WHERE a.account_type IN ('brokerage', 'iis') ORDER BY a.id, t.operation_at, t.id`),
pool.query<PerformanceCashRow>(`SELECT t.id, a.id AS account_id, a.alias, a.bank, a.account_number, a.account_type, t.operation_at, t.amount_signed, t.description FROM accounts a JOIN transactions t ON t.account_id = a.id ORDER BY a.id, t.operation_at, t.id`),
pool.query<PerformanceTradeRow>(`SELECT account_id, side, quantity, settlement_amount, settlement_commission, trade_commission, isin, instrument FROM portfolio_trades ORDER BY account_id, concluded_at, id`),
pool.query<PerformancePositionRow>(`SELECT r.account_id, p.quantity, p.valuation, p.isin, p.instrument FROM portfolio_reports r JOIN portfolio_positions p ON p.report_id = r.id JOIN LATERAL (SELECT id FROM portfolio_reports WHERE account_id = r.account_id ORDER BY report_period_to DESC, imported_at DESC, id DESC LIMIT 1) latest ON latest.id = r.id`),
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