* Restructures `Transactor::preflight` to create several functions that will remove the need for error-prone boilerplate code in derived classes' implementations of `preflight`.
This change adds `STInt32` as a new `SType` under the `STInteger` umbrella, with `SType` value `12`. This is the first and only `STInteger` type that supports negative values.
This change is to improve code coverage (and to simplify #5720 and #5725); there is otherwise no change in functionality. The change adds basic tests for `STInteger` and `STParsedJSON`, so it becomes easier to test smaller changes to the types, as well as removes `STParsedJSONArray`, since it is not used anywhere (including in Clio).
- Added a new Invariant: `ValidPseudoAccounts` which checks that all pseudo-accounts behave consistently through creation and updates, and that no "real" accounts look like pseudo-accounts (which means they don't have a 0 sequence).
- `to_short_string(base_uint)`. Like `to_string`, but only returns the first 8 characters. (Similar to how a git commit ID can be abbreviated.) Used as a wrapped sink to prefix most transaction-related messages. More can be added later.
- `XRPL_ASSERT_PARTS`. Convenience wrapper for `XRPL_ASSERT`, which takes the `function` and `description` as separate parameters.
- `SField::sMD_PseudoAccount`. Metadata option for `SField` definitions to indicate that the field, if set in an `AccountRoot` indicates that account is a pseudo-account. Removes the need for hard-coded field lists all over the place. Added the flag to `AMMID` and `VaultID`.
- Added functionality to `SField` ctor to detect both code and name collisions using asserts. And require all SFields to have a name
- Convenience type aliases `STLedgerEntry::const_pointer` and `STLedgerEntry::const_ref`. (`SLE` is an alias to `STLedgerEntry`.)
- Generalized `feeunit.h` (`TaggedFee`) into `unit.h` (`ValueUnit`) and added new "BIPS"-related tags for future use. Also refactored the type restrictions to use Concepts.
- Restructured `transactions.macro` to do two big things
1. Include the `#include` directives for transactor header files directly in the macro file. Removes the need to update `applySteps.cpp` and the resulting conflicts.
2. Added a `privileges` parameter to the `TRANSACTION` macro, which specifies some of the operations a transaction is allowed to do. These `privileges` are enforced by invariant checks. Again, removed the need to update scattered lists of transaction types in various checks.
- Unit tests:
1. Moved more helper functions into `TestHelpers.h` and `.cpp`.
2. Cleaned up the namespaces to prevent / mitigate random collisions and ambiguous symbols, particularly in unity builds.
3. Generalized `Env::balance` to add support for `MPTIssue` and `Asset`.
4. Added a set of helper classes to simplify `Env` transaction parameter classes: `JTxField`, `JTxFieldWrapper`, and a bunch of classes derived or aliased from it. For an example of how awesome it is, check the changes `src/test/jtx/escrow.h` for how much simpler the definitions are for `finish_time`, `cancel_time`, `condition`, and `fulfillment`.
5. Generalized several of the amount-related helper classes to understand `Asset`s.
6. `env.balance` for an MPT issuer will return a negative number (or 0) for consistency with IOUs.
This change adds a fix amendment (`fixIncludeKeyletFields`) that adds:
* `sfSequence` to `Escrow` and `PayChannel`
* `sfOwner` to `SignerList`
* `sfOracleDocumentID` to `Oracle`
This ensures that all ledger entries hold all the information needed to determine their keylet.
* extends the functionality of the MPTokenIssuanceSet transaction, allowing the issuer to update fields or flags that were explicitly marked as mutable during creation.
- Amendment: fixDelegateV1_1
- In DelegateSet, disallow invalid PermissionValues like 0, and transaction values when the transaction's amendment is not enabled. Acts as if the transaction doesn't exist, which is the same thing older versions without the amendment will do.
- Payment burn/mint should disallow DEX currency exchange.
- Support MPT for Payment burn/mint.
* Add and Scale to VaultCreate
* Add round-trip calculation to VaultDeposit VaultWithdraw and VaultClawback
* Implement Number::truncate() for VaultClawback
* Add rounding to DepositWithdraw
* Disallow zero shares withdraw or deposit with tecPRECISION_LOSS
* Return tecPATH_DRY on overflow when converting shares/assets
* Remove empty shares MPToken in clawback or withdraw (except for vault owner)
* Implicitly create shares MPToken for vault owner in VaultCreate
* Review feedback: defensive checks in shares/assets calculations
---------
Co-authored-by: Ed Hennis <ed@ripple.com>
This is a major refactor of LedgerEntry.cpp. It adds a number of helper functions to make the code easier to maintain.
It also splits up the ledger and ledger_entry tests into different files, and cleans up the ledger_entry tests to make them easier to write and maintain.
This refactor also caught a few bugs in some of the other RPC processing, so those are fixed along the way.
This change introduces two key optimizations:
* Mutex scope reduction: Limits the lock to individual partitions within `TaggedCache`, reducing contention.
* Decoupling: Removes the tight coupling between `LedgerHistory` and `TaggedCache`, improving modularity and testability.
Lock contention analysis based on eBPF showed significant improvements as a result of this change.
This change fixes an issue where the order of `PriceDataSeries` was out of sync between when `PriceOracle` was created and when it was updated. Although they are registered in the canonical order when updated, they are created using the order specified in the transaction; this change ensures that they are also registered in the canonical order when created.
The Payment transaction metadata is missing the `DeliveredAmount` field that displays the actual amount delivered to the destination excluding transfer fees. This amendment fixes this problem.
#5224 added (among other things) a `VaultWithdraw` transaction that allows setting the recipient of the withdrawn funds in the `Destination` transaction field. This technically turns this transaction into a payment, and in some respect the implementation does follow payment rules, e.g. enforcement of `lsfRequireDestTag` or `lsfDepositAuth`, or that MPT transfer has destination `MPToken`. However for IOUs, it missed verification that the destination account has a trust line to the asset issuer. Since the default behavior of `accountSendIOU` is to create this trust line (if missing), this is what `VaultWithdraw` currently does. This is incorrect, since the `Destination` might not be interested in holding the asset in question; this basically enables spammy transfers. This change, therefore, removes automatic creation of a trust line to the `Destination` account in `VaultWithdraw`.
This change adds support for `DomainID` to existing transactions `MPTokenIssuanceCreate` and `MPTokenIssuanceSet`.
In #5224 `DomainID` was added as an access control mechanism for `SingleAssetVault`. The actual implementation of this feature lies in `MPToken` and `MPTokenIssuance`, hence it makes sense to enable the use of `DomainID` also in `MPTokenIssuanceCreate` and `MPTokenIssuanceSet`, following same rules as in Vault:
* `MPTokenIssuanceCreate` and `MPTokenIssuanceSet` can only set `DomainID` if flag `MPTRequireAuth` is set.
* `MPTokenIssuanceCreate` requires that `DomainID` be a non-zero, uint256 number.
* `MPTokenIssuanceSet` allows `DomainID` to be zero (or empty) in which case it will remove `DomainID` from the `MPTokenIssuance` object.
The change is amendment-gated by `SingleAssetVault`. This is a non-breaking change because `SingleAssetVault` amendment is `Supported::no`, i.e. at this moment considered a work in progress, which cannot be enabled on the network.
This issue was reported on the Javascript client library: XRPLF/xrpl.js#2611
The type filter (Note: as of the latest version of rippled, type parameter is deprecated) does not work as expected. This PR removes the type filter from the ledger command.
Due to rounding, the LPTokenBalance of the last LP might not match the LP's trustline balance. This was fixed for `AMMWithdraw` in `fixAMMv1_1` by adjusting the LPTokenBalance to be the same as the trustline balance. Since `AMMClawback` is also performing a withdrawal, we need to adjust LPTokenBalance as well in `AMMClawback.`
This change includes:
1. Refactored `verifyAndAdjustLPTokenBalance` function in `AMMUtils`, which both`AMMWithdraw` and `AMMClawback` call to adjust LPTokenBalance.
2. Added the unit test `testLastHolderLPTokenBalance` to test the scenario.
3. Modify the existing unit tests for `fixAMMClawbackRounding`.
* Adds `tecNO_DELEGATE_PERMISSION` for unauthorized transactions sent by a delegated account.
* Returns `tecNO_TARGET` instead of `terNO_ACCOUNT` for the `DelegateSet` transaction if the delegated account does not exist.
* Fixes `tfFullyCanonicalSig` and `tfInnerBatchTxn` blocking transactions issue by adding `tfUniversal` in the permission related masks in `txFlags.h`
- Specification: https://github.com/XRPLF/XRPL-Standards/pull/272
- Amendment: `TokenEscrow`
- Enables escrowing of IOU and MPT tokens in addition to native XRP.
- Allows accounts to lock issued tokens (IOU/MPT) in escrow objects, with support for freeze, authorization, and transfer rates.
- Adds new ledger fields (`sfLockedAmount`, `sfIssuerNode`, etc.) to track locked balances for IOU and MPT escrows.
- Updates EscrowCreate, EscrowFinish, and EscrowCancel transaction logic to support IOU and MPT assets, including proper handling of trustlines and MPT authorization, transfer rates, and locked balances.
- Enforces invariant checks for escrowed IOU/MPT amounts.
- Extends GatewayBalances RPC to report locked (escrowed) balances.
The changes are focused on fixing NFT transactions bypassing the trustline authorization requirement and potential invariant violation when interacting with deep frozen trustlines.
* Add AMM bid/create/deposit/swap/withdraw/vote invariants:
- Deposit, Withdrawal invariants: `sqrt(asset1Balance * asset2Balance) >= LPTokens`.
- Bid: `sqrt(asset1Balance * asset2Balance) > LPTokens` and the pool balances don't change.
- Create: `sqrt(asset1Balance * assetBalance2) == LPTokens`.
- Swap: `asset1BalanceAfter * asset2BalanceAfter >= asset1BalanceBefore * asset2BalanceBefore`
and `LPTokens` don't change.
- Vote: `LPTokens` and pool balances don't change.
- All AMM and swap transactions: amounts and tokens are greater than zero, except on withdrawal if all tokens
are withdrawn.
* Add AMM deposit and withdraw rounding to ensure AMM invariant:
- On deposit, tokens out are rounded downward and deposit amount is rounded upward.
- On withdrawal, tokens in are rounded upward and withdrawal amount is rounded downward.
* Add Order Book Offer invariant to verify consumed amounts. Consumed amounts are less than the offer.
* Fix Bid validation. `AuthAccount` can't have duplicate accounts or the submitter account.
- Specification: [XRPLF/XRPL-Standards 56](https://github.com/XRPLF/XRPL-Standards/blob/master/XLS-0056d-batch/README.md)
- Amendment: `Batch`
- Implements execution of multiple transactions within a single batch transaction with four execution modes: `tfAllOrNothing`, `tfOnlyOne`, `tfUntilFailure`, and `tfIndependent`.
- Enables atomic multi-party transactions where multiple accounts can participate in a single batch, with up to 8 inner transactions and 8 batch signers per batch transaction.
- Inner transactions use `tfInnerBatchTxn` flag with zero fees, no signature, and empty signing public key.
- Inner transactions are applied after the outer batch succeeds via the `applyBatchTransactions` function in apply.cpp.
- Network layer prevents relay of transactions with `tfInnerBatchTxn` flag - each peer applies inner transactions locally from the batch.
- Batch transactions are excluded from AccountDelegate permissions but inner transactions retain full delegation support.
- Metadata includes `ParentBatchID` linking inner transactions to their containing batch for traceability and auditing.
- Extended STTx with batch-specific signature verification methods and added protocol structures (`sfRawTransactions`, `sfBatchSigners`).
- Specification: XRPLF/XRPL-Standards#239
- Amendment: `SingleAssetVault`
- Implements a vault feature used to store a fungible asset (XRP, IOU, or MPT, but not NFT) and to receive shares in the vault (an MPT) in exchange.
- A vault can be private or public.
- A private vault can use permissioned domains, subject to the `PermissionedDomains` amendment.
- Shares can be exchanged back into asset with `VaultWithdraw`.
- Permissions on the asset in the vault are transitively applied on shares in the vault.
- Issuer of the asset in the vault can clawback with `VaultClawback`.
- Extended `MPTokenIssuance` with `DomainID`, used by the permissioned domain on the vault shares.
Co-authored-by: John Freeman <jfreeman08@gmail.com>
This change implements the account permission delegation described in XLS-75d, see https://github.com/XRPLF/XRPL-Standards/pull/257.
* Introduces transaction-level and granular permissions that can be delegated to other accounts.
* Adds `DelegateSet` transaction to grant specified permissions to another account.
* Adds `ltDelegate` ledger object to maintain the permission list for delegating/delegated account pair.
* Adds an optional `Delegate` field in common fields, allowing a delegated account to send transactions on behalf of the delegating account within the granted permission scope. The `Account` field remains the delegating account; the `Delegate` field specifies the delegated account. The transaction is signed by the delegated account.
This change introduces a new fix amendment (`fixPayChanV1`) that prevents the creation of new `PaymentChannelCreate` transaction with a `CancelAfter` time less than the current ledger time. It piggy backs off of fix1571.
Once the amendment is activated, creating a new `PaymentChannel` will require that if you specify the `CancelAfter` time/value, that value must be greater than or equal to the current ledger time.
Currently users can create a payment channel where the `CancelAfter` time is before the current ledger time. This results in the payment channel being immediately closed on the next PaymentChannel transaction.
Requiring manual updates of numFeatures is an annoying manual process that is easily forgotten, and leads to frequent merge conflicts. This change takes advantage of the `XRPL_FEATURE` and `XRPL_FIX` macros, and adds a new `XRPL_RETIRE` macro to automatically set `numFeatures`.
The codebase is filled with includes that are unused, and which thus can be removed. At the same time, the files often do not include all headers that contain the definitions used in those files. This change uses clang-format and clang-tidy to clean up the includes, with minor manual intervention to ensure the code compiles on all platforms.