- Spec: XLS-66
Fix overpayment asserts (#6084)
MPTTester::operator() parameter should be std::int64_t
- Originally defined as uint64_t, but the testIssuerLoan() test called
it with a negative number, causing an overflow to a very large number
that in some circumstances could be silently cast back to an int64_t,
but might not be. I believe this is UB, and we don't want to rely on
that.
Review feedback from @Tapanito: overpayment value change
- In overpayment results, the management fee was being calculated twice:
once as part of the value change, and as part of the fees paid.
Exclude it from the value change.
Fix Overpayment Calculation (#6087)
- Adds additional unit tests to cover math calculations.
- Removes unused methods.
Review feedback from @shawnxie999: even more rounding
- Round the initial total value computation upward, unless there is
0-interest.
- Rename getVaultScale to getAssetsTotalScale, and convert one incorrect
computation to use it.
- Use adjustImpreciseNumber for LossUnrealized.
- Add some logging to computeLoanProperties.
Fix LoanBrokerSet debtMaximum limits (#6116)
Fix some minor bugs in Lending Protocol (#6101)
- add nodiscard to unimpairLoan, and check result in LoanPay
- add a check to verify that issuer exists
- improve LoanManage error code for dust amounts
Check permissions in LoanSet and LoanPay (#6108)
Disallow pseudo accounts to be Destination for LoanBrokerCoverWithdraw (#6106)
Ensure vault asset cap is not exceeded (#6124)
Fix Overpayment ValueChange calculation in Lending Protocol (#6114)
- Adds loan state to LoanProperties.
- Cleans up computeLoanProperties.
- Fixes missing management fee from overpayment.
fix: Enable LP Deposits when the broker is the asset issuer (#6119)
* Replace accountHolds with accountSpendable when checking
for account funds in VaultDeposit and LoanBrokerCoverDeposit
Add a few minor changes (#6158)
- Updates or fixes a couple of things I noticed while reviewing changes
to the spec.
- Rename sfPreviousPaymentDate to sfPreviousPaymentDueDate.
- Make the vault asset cap check added in #6124 a little more robust:
1. Check in preflight if the vault is _already_ over the limit.
2. Prevent overflow when checking with the loan value. (Subtract
instead of adding, in case the values are near maxint. Both return
the same result. Also add a unit test so each case is covered.
Add minimum grace period validation (#6133)
Fix bugs: frozen pseudo-account, and FLC cutoff (#6170)
refactor: Rename raw state to theoretical state (#6187)
Check if a withdrawal amount exceeds any applicable receiving limit. (#6117)
Fix overpayment result calculation (#6195)
Address review feedback from Lending Protocol re-review (#6161)
---------
Co-authored-by: Gregory Tsipenyuk <gregtatcam@users.noreply.github.com>
Co-authored-by: Bronek Kozicki <brok@incorrekt.com>
Co-authored-by: Vito Tumas <5780819+Tapanito@users.noreply.github.com>
Co-authored-by: Shawn Xie <35279399+shawnxie999@users.noreply.github.com>
Co-authored-by: Jingchen <a1q123456@users.noreply.github.com>
This change renames all occurrences of `namespace ripple` and `ripple::` to `namespace xrpl` and `xrpl::`, respectively, as well as the names of test suites. It also provides a script to allow developers to replicate the changes in their local branch or fork to avoid conflicts.
- Spec: XLS-66
- Introduces amendment "LendingProtocol", but leaves it UNSUPPORTED to
allow for standalone testing, future development work, and potential
bug fixes.
- AccountInfo RPC will indicate the type of pseudo-account when
appropriate.
- Refactors and improves several existing classes and functional areas,
including Number, STAmount, STObject, json_value, Asset, directory
handling, View helper functions, and unit test helpers.
Per XLS-0095, we are taking steps to rename ripple(d) to xrpl(d).
This change specifically removes all copyright notices referencing Ripple, XRPLF, and certain affiliated contributors upon mutual agreement, so the notice in the LICENSE.md file applies throughout. Copyright notices referencing external contributions remain as-is. Duplicate verbiage is also removed.
Per XLS-0095, we are taking steps to rename ripple(d) to xrpl(d).
C++ include guards are used to prevent the contents of a header file from being included multiple times in a single compilation unit. This change renames all `RIPPLE_` and `RIPPLED_` definitions, primarily include guards, to `XRPL_`. It also provides a script to allow developers to replicate the changes in their local branch or fork to avoid conflicts.
- 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.