* Revert "Optimize calculation of close time to avoid impasse and minimize gratuitous proposal changes (#4760)"
This reverts commit 8ce85a9750.
* Revert "Several changes to improve Consensus stability: (#4505)"
This reverts commit f259cc1ab6.
* Add missing include
---------
Co-authored-by: seelabs <scott.determan@yahoo.com>
* Promote API version 2 to supported
* Switch command line to API version 1
* Fix LedgerRequestRPC test
* Remove obsolete tx_account method
This method is not implemented, the only parts which are removed are related to command-line parsing
* Fix RPCCall test
* Reduce diff size, small test improvements
* Minor fixes
* Support for the mold linker
* [fold] handle case where both mold and gold are installed
* [fold] Use first non-default linker
* Fix TransactionEntry_test
* Fix AccountTx_test
---------
Co-authored-by: seelabs <scott.determan@yahoo.com>
* Remove include <ranges>
* Formatting fix
* Output for subscriptions
* Output from sign, submit etc.
* Output from ledger
* Output from account_tx
* Output from transaction_entry
* Output from tx
* Store close_time_iso in API v2 output
* Add small APIv2 unit test for subscribe
* Add unit test for transaction_entry
* Add unit test for tx
* Remove inLedger from API version 2
* Set ledger_hash and ledger_index
* Move isValidated from RPCHelpers to LedgerMaster
* Store closeTime in LedgerFill
* Time formatting fix
* additional tests for Subscribe unit tests
* Improved comments
* Rename mInLedger to mLedgerIndex
* Minor fixes
* Set ledger_hash on closed ledger, even if not validated
* Update API-CHANGELOG.md
* Add ledger_hash, ledger_index to transaction_entry
* Fix validated and close_time_iso in account_tx
* Fix typos
* Improve getJson for Transaction and STTx
* Minor improvements
* Replace class enum JsonOptions with struct
We may consider turning this into a general-purpose template and using it elsewhere
* simplify the extraction of transactionID from Transaction object
* Remove obsolete comments
* Unconditionally set validated in account_tx output
* Minor improvements
* Minor fixes
---------
Co-authored-by: Chenna Keshava <ckeshavabs@gmail.com>
The command line API still uses `apiMaximumSupportedVersion`.
The unit test RPCs use `apiMinimumSupportedVersion` if unspecified.
Context:
- #4568
- #4552
Introduce the `fixFillOrKill` amendment.
Fix an edge case occurring when an offer with `tfFillOrKill` set (but
without `tfSell` set) fails to cross an offer with a better rate. If
`tfFillOrKill` is set, then the owner must receive the full TakerPays.
Without this amendment, an offer fails if the entire `TakerGets` is not
spent. With this amendment, when `tfSell` is not set, the entire
`TakerGets` does not have to be spent.
For details about OfferCreate, see: https://xrpl.org/offercreate.htmlFix#4684
---------
Co-authored-by: Scott Schurr <scott@ripple.com>
Remove dependency on `<ranges>` header, since it is not implemented by
all compilers which we want to support.
This code change only affects unit tests.
Resolve https://github.com/XRPLF/rippled/issues/4787
Remove `tx_history` and `ledger_header` methods from API version 2.
Update `RPC::Handler` to allow for methods (or method implementations)
to be API version specific. This partially resolves#4727. We can now
store multiple handlers with the same name, as long as they belong to
different (non-overlapping) API versions. This necessarily impacts the
handler lookup algorithm and its complexity; however, there is no
performance loss on x86_64 architecture, and only minimal performance
loss on arm64 (around 10ns). This design change gives us extra
flexibility evolving the API in the future, including other parts of
#4727.
In API version 2, `tx_history` and `ledger_header` are no longer
recognised; if they are called, `rippled` will return error
`unknownCmd`
Resolve#3638Resolve#3539
Using the "Amount" field in Payment transactions can cause incorrect
interpretation. There continue to be problems from the use of this
field. "Amount" is rarely the correct field to use; instead,
"delivered_amount" (or "DeliveredAmount") should be used.
Rename the "Amount" field to "DeliverMax", a less misleading name. With
api_version: 2, remove the "Amount" field from Payment transactions.
- Input: "DeliverMax" in `tx_json` is an alias for "Amount"
- sign
- submit (in sign-and-submit mode)
- submit_multisigned
- sign_for
- Output: Add "DeliverMax" where transactions are provided by the API
- ledger
- tx
- tx_history
- account_tx
- transaction_entry
- subscribe (transactions stream)
- Output: Remove "Amount" from API version 2
Fix#3484Fix#3902
Add a new RPC / WS call for `server_definitions`, which returns an
SDK-compatible `definitions.json` (binary enum definitions) generated by
the server. This enables clients/libraries to dynamically work with new
fields and features, such as ones that may become available on side
chains. Clients query `server_definitions` on a node from the network
they want to work with, and immediately know how to speak that node's
binary "language", even if new features are added to it in the future
(as long as there are no new serialized types that the software doesn't
know how to serialize/deserialize).
Example:
```js
> {"command": "server_definitions"}
< {
"result": {
"FIELDS": [
[
"Generic",
{
"isSerialized": false,
"isSigningField": false,
"isVLEncoded": false,
"nth": 0,
"type": "Unknown"
}
],
[
"Invalid",
{
"isSerialized": false,
"isSigningField": false,
"isVLEncoded": false,
"nth": -1,
"type": "Unknown"
}
],
[
"ObjectEndMarker",
{
"isSerialized": false,
"isSigningField": true,
"isVLEncoded": false,
"nth": 1,
"type": "STObject"
}
],
...
```
Close#3657
---------
Co-authored-by: Richard Holland <richard.holland@starstone.co.nz>
Implement native support for W3C DIDs.
Add a new ledger object: `DID`.
Add two new transactions:
1. `DIDSet`: create or update the `DID` object.
2. `DIDDelete`: delete the `DID` object.
This meets the requirements specified in the DID v1.0 specification
currently recommended by the W3C Credentials Community Group.
The DID format for the XRP Ledger conforms to W3C DID standards.
The objects can be created and owned by any XRPL account holder.
The transactions can be integrated by any service, wallet, or application.
Context: The `DisallowIncoming` amendment provides an option to block
incoming trust lines from reaching your account. The
asfDisallowIncomingTrustline AccountSet Flag, when enabled, prevents any
incoming trust line from being created. However, it was too restrictive:
it would block an issuer from authorizing a trust line, even if the
trust line already exists. Consider:
1. Issuer sets asfRequireAuth on their account.
2. User sets asfDisallowIncomingTrustline on their account.
3. User submits tx to SetTrust to Issuer.
At this point, without `fixDisallowIncomingV1` active, the issuer would
not be able to authorize the trust line.
The `fixDisallowIncomingV1` amendment, once activated, allows an issuer
to authorize a trust line even after the user sets the
asfDisallowIncomingTrustline flag, as long as the trust line already
exists.
Modify the `XChainBridge` amendment.
Before this patch, two door accounts on the same chain could could own
the same bridge spec (of course, one would have to be the issuer and one
would have to be the locker). While this is silly, it does not violate
any bridge invariants. However, on further review, if we allow this then
the `claim` transactions would need to change. Since it's hard to see a
use case for two doors to own the same bridge, this patch disallows
it. (The transaction will return tecDUPLICATE).
Amendment "flapping" (an amendment repeatedly gaining and losing
majority) usually occurs when an amendment is on the verge of gaining
majority, and a validator not in favor of the amendment goes offline or
loses sync. This fix makes two changes:
1. The number of validators in the UNL determines the threshold required
for an amendment to gain majority.
2. The AmendmentTable keeps a record of the most recent Amendment vote
received from each trusted validator (and, with `trustChanged`, stays
up-to-date when the set of trusted validators changes). If no
validation arrives from a given validator, then the AmendmentTable
assumes that the previously-received vote has not changed.
In other words, when missing an `STValidation` from a remote validator,
each server now uses the last vote seen. There is a 24 hour timeout for
recorded validator votes.
These changes do not require an amendment because they do not impact
transaction processing, but only the threshold at which each individual
validator decides to propose an EnableAmendment pseudo-transaction.
Fix#4350
Clean up the peer-to-peer protocol start/close sequences by introducing
START_PROTOCOL and GRACEFUL_CLOSE messages, which sync inbound/outbound
peer send/receive. The GRACEFUL_CLOSE message differentiates application
and link layer failures.
* Introduce the `InboundHandoff` class to manage inbound peer
instantiation and synchronize the send/receive protocol messages
between peers.
* Update `OverlayImpl` to utilize the `InboundHandoff` class to manage
inbound handshakes.
* Update `PeerImp` for improved handling of protocol messages.
* Modify the `Message` class for better maintainability.
* Introduce P2P protocol version `2.3`.
gateway_balances
* When `account` does not exist in the ledger, return `actNotFound`
* (Previously, a normal response was returned)
* Fix#4290
* When required field(s) are missing, return `invalidParams`
* (Previously, `invalidHotWallet` was incorrectly returned)
* Fix#4548
channel_authorize
* When the specified `key_type` is invalid, return `badKeyType`
* (Previously, `invalidParams` was returned)
* Fix#4289
Since these are breaking changes, they apply only to API version 2.
Supersedes #4577
* For example, without this change, to run the TxQ tests, must specify
`--unittest=TxQ1,TxQ2` on the command line. With this change, can use
`--unittest=TxQ`, and both will be run.
* An exact match will prevent any further partial matching.
* This could have some side effects for different tests with a common
name beginning. For example, NFToken, NFTokenBurn, NFTokenDir. This
might be useful. If not, the shorter-named test(s) can be renamed. For
example, NFToken to NFTokens.
* Split the NFToken, NFTokenBurn, and Offer test classes. Potentially speeds
up parallel tests by a factor of 5.
A bridge connects two blockchains: a locking chain and an issuing
chain (also called a mainchain and a sidechain). Both are independent
ledgers, with their own validators and potentially their own custom
transactions. Importantly, there is a way to move assets from the
locking chain to the issuing chain and a way to return those assets from
the issuing chain back to the locking chain: the bridge. This key
operation is called a cross-chain transfer. A cross-chain transfer is
not a single transaction. It happens on two chains, requires multiple
transactions, and involves an additional server type called a "witness".
A bridge does not exchange assets between two ledgers. Instead, it locks
assets on one ledger (the "locking chain") and represents those assets
with wrapped assets on another chain (the "issuing chain"). A good model
to keep in mind is a box with an infinite supply of wrapped assets.
Putting an asset from the locking chain into the box will release a
wrapped asset onto the issuing chain. Putting a wrapped asset from the
issuing chain back into the box will release one of the existing locking
chain assets back onto the locking chain. There is no other way to get
assets into or out of the box. Note that there is no way for the box to
"run out of" wrapped assets - it has an infinite supply.
Co-authored-by: Gregory Popovitch <greg7mdp@gmail.com>
For the `account_tx` and `noripple_check` methods, perform input
validation for optional parameters such as "binary", "forward",
"strict", "transactions". Previously, when these parameters had invalid
values (e.g. not a bool), no error would be returned. Now, it returns an
`invalidParams` error.
* This updates the behavior to match Clio
(https://github.com/XRPLF/clio).
* Since this is potentially a breaking change, it only applies to
requests specifying api_version: 2.
* Fix#4543.
* Verify accepted ledger becomes validated, and retry
with a new consensus transaction set if not.
* Always store proposals.
* Track proposals by ledger sequence. This helps slow peers catch
up with the rest of the network.
* Acquire transaction sets for proposals with future ledger sequences.
This also helps slow peers catch up.
* Optimize timer delay for establish phase to wait based on how
long validators have been sending proposals. This also helps slow
peers to catch up.
* Fix impasse achieving close time consensus.
* Don't wait between open and establish phases.
Add new transaction submission API field, "sync", which
determines behavior of the server while submitting transactions:
1) sync (default): Process transactions in a batch immediately,
and return only once the transaction has been processed.
2) async: Put transaction into the batch for the next processing
interval and return immediately.
3) wait: Put transaction into the batch for the next processing
interval and return only after it is processed.
- Verify "check", used to retrieve a Check object, is a string.
- Verify "nft_page", used to retrieve an NFT Page, is a string.
- Verify "index", used to retrieve any type of ledger object by its
unique ID, is a string.
- Verify "directory", used to retrieve a DirectoryNode, is a string or
an object.
This change only impacts api_version 2 since it is a breaking change.
https://xrpl.org/ledger_entry.htmlFix#4550
* In namespace ripple, introduces get_name function that takes a
std:🧵:native_handle_type and returns a std::string.
* In namespace ripple, introduces get_name function that takes a
std::thread or std::jthread and returns a std::string.
* In namespace ripple::this_thread, introduces get_name function
that takes no parameters and returns the name of the current
thread as a std::string.
* In namespace ripple::this_thread, introduces set_name function
that takes a std::string_view and sets the name of the current
thread.
* Intended to replace the beast utilities setCurrentThreadName
and getCurrentThreadName.
- Update amm_info to fetch AMM by amm account id.
- This is an additional way to retrieve an AMM object.
- Alternatively, AMM can still be fetched by the asset pair as well.
- Add owner directory entry for AMM object.
Context:
- Add back the AMM object directory entry, which was deleted by #4626.
- This fixes `account_objects` for `amm` type.
* Verify accepted ledger becomes validated, and retry
with a new consensus transaction set if not.
* Always store proposals.
* Track proposals by ledger sequence. This helps slow peers catch
up with the rest of the network.
* Acquire transaction sets for proposals with future ledger sequences.
This also helps slow peers catch up.
* Optimize timer delay for establish phase to wait based on how
long validators have been sending proposals. This also helps slow
peers to catch up.
* Fix impasse achieving close time consensus.
* Don't wait between open and establish phases.
Add new transaction submission API field, "sync", which
determines behavior of the server while submitting transactions:
1) sync (default): Process transactions in a batch immediately,
and return only once the transaction has been processed.
2) async: Put transaction into the batch for the next processing
interval and return immediately.
3) wait: Put transaction into the batch for the next processing
interval and return only after it is processed.
Introduce a new variadic template helper function, `forAllApiVersions`,
that accepts callables to execute a set of functions over a range of
versions - from RPC::apiMinimumSupportedVersion to RPC::apiBetaVersion.
This avoids the duplication of code.
Context: #4552
- "Rename" the type `LedgerInfo` to `LedgerHeader` (but leave an alias
for `LedgerInfo` to not yet disturb existing uses). Put it in its own
public header, named after itself, so that it is more easily found.
- Move the type `Fees` and NFT serialization functions into public
(installed) headers.
- Compile the XRPL and gRPC protocol buffers directly into `libxrpl` and
install their headers. Fix the Conan recipe to correctly export these
types.
Addresses change (2) in
https://github.com/XRPLF/XRPL-Standards/discussions/121.
For context: This work supports Clio's dependence on libxrpl. Clio is
just an example consumer. These changes should benefit all current and
future consumers.
---------
Co-authored-by: cyan317 <120398799+cindyyan317@users.noreply.github.com>
Signed-off-by: Manoj Doshi <mdoshi@ripple.com>
When an AMM account is deleted, the owner directory entries must be
deleted in order to ensure consistent ledger state.
* When deleting AMM account:
* Clean up AMM owner dir, linking AMM account and AMM object
* Delete trust lines to AMM
* Disallow `CheckCreate` to AMM accounts
* AMM cannot cash a check
* Constrain entries in AuthAccounts array to be accounts
* AuthAccounts is an array of objects for the AMMBid transaction
* SetTrust (TrustSet): Allow on AMM only for LP tokens
* If the destination is an AMM account and the trust line doesn't
exist, then:
* If the asset is not the AMM LP token, then fail the tx with
`tecNO_PERMISSION`
* If the AMM is in empty state, then fail the tx with `tecAMM_EMPTY`
* This disallows trustlines to AMM in empty state
* Add AMMID to AMM root account
* Remove lsfAMM flag and use sfAMMID instead
* Remove owner dir entry for ltAMM
* Add `AMMDelete` transaction type to handle amortized deletion
* Limit number of trust lines to delete on final withdraw + AMMDelete
* Put AMM in empty state when LPTokens is 0 upon final withdraw
* Add `tfTwoAssetIfEmpty` deposit option in AMM empty state
* Fail all AMM transactions in AMM empty state except special deposit
* Add `tecINCOMPLETE` to indicate that not all AMM trust lines are
deleted (i.e. partial deletion)
* This is handled in Transactor similar to deleted offers
* Fail AMMDelete with `tecINTERNAL` if AMM root account is nullptr
* Don't validate for invalid asset pair in AMMDelete
* AMMWithdraw deletes AMM trust lines and AMM account/object only if the
number of trust lines is less than max
* Current `maxDeletableAMMTrustLines` = 512
* Check no directory left after AMM trust lines are deleted
* Enable partial trustline deletion in AMMWithdraw
* Add `tecAMM_NOT_EMPTY` to fail any transaction that expects an AMM in
empty state
* Clawback considerations
* Disallow clawback out of AMM account
* Disallow AMM create if issuer can claw back
This patch applies to the AMM implementation in #4294.
Acknowledgements:
Richard Holland and Nik Bougalis for responsibly disclosing this issue.
Bug Bounties and Responsible Disclosures:
We welcome reviews of the project code and urge researchers to
responsibly disclose any issues they may find.
To report a bug, please send a detailed report to:
bugs@xrpl.org
Signed-off-by: Manoj Doshi <mdoshi@ripple.com>
Reason for this change is here XRPLF/XRPL-Standards#119
We would want to be explicit that this flag is exclusively for trustline. For new token types(eg. CFT), they will not utilize this flag for clawback, instead, they will turn clawback on/off on the token-level, which is more versatile.
Use the most recent versions in ConanCenter.
* Due to a bug in Clang 16, you may get a compile error:
"call to 'async_teardown' is ambiguous"
* A compiler flag workaround is documented in `BUILD.md`.
* At this time, building this with gcc 13 may require editing some files
in `.conan/data`
* A patch to support gcc13 may be added in a later PR.
---------
Co-authored-by: Scott Schurr <scott@ripple.com>
Add AMM functionality:
- InstanceCreate
- Deposit
- Withdraw
- Governance
- Auctioning
- payment engine integration
To support this functionality, add:
- New RPC method, `amm_info`, to fetch pool and LPT balances
- AMM Root Account
- trust line for each IOU AMM token
- trust line to track Liquidity Provider Tokens (LPT)
- `ltAMM` object
The `ltAMM` object tracks:
- fee votes
- auction slot bids
- AMM tokens pair
- total outstanding tokens balance
- `AMMID` to AMM `RootAccountID` mapping
Add new classes to facilitate AMM integration into the payment engine.
`BookStep` uses these classes to infer if AMM liquidity can be consumed.
The AMM formula implementation uses the new Number class added in #4192.
IOUAmount and STAmount use Number arithmetic.
Add AMM unit tests for all features.
AMM requires the following amendments:
- featureAMM
- fixUniversalNumber
- featureFlowCross
Notes:
- Current trading fee threshold is 1%
- AMM currency is generated by: 0x03 + 152 bits of sha256{cur1, cur2}
- Current max AMM Offers is 30
---------
Co-authored-by: Howard Hinnant <howard.hinnant@gmail.com>
Improve error handling for ledger_entry by returning an "invalidParams"
error when one or more request fields are specified incorrectly, or one
or more required fields are missing.
For example, if none of of the following fields is provided, then the
API should return an invalidParams error:
* index, account_root, directory, offer, ripple_state, check, escrow,
payment_channel, deposit_preauth, ticket
Prior to this commit, the API returned an "unknownOption" error instead.
Since the error was actually due to invalid parameters, rather than
unknown options, this error was misleading.
Since this is an API breaking change, the "invalidParams" error is only
returned for requests using api_version: 2 and above. To maintain
backward compatibility, the "unknownOption" error is still returned for
api_version: 1.
Related: #4573Fix#4303
- Previously, mulDiv had `std::pair<bool, uint64_t>` as the output type.
- This is an error-prone interface as it is easy to ignore when
overflow occurs.
- Using a return type of `std::optional` should decrease the likelihood
of ignoring overflow.
- It also allows for the use of optional::value_or() as a way to
explicitly recover from overflow.
- Include limits.h header file preprocessing directive in order to
satisfy gcc's numeric_limits incomplete_type requirement.
Fix#3495
---------
Co-authored-by: John Freeman <jfreeman08@gmail.com>
* Update the `account_info` API so that the `allowClawback` flag is
included in the response.
* The proposed `Clawback` amendement added an `allowClawback` flag in
the `AccountRoot` object.
* In the API response, under `account_flags`, there is now an
`allowClawback` field with a boolean (`true` or `false`) value.
* For reference, the XLS-39 Clawback implementation can be found in
#4553Fix#4588
When requesting `account_info` with an invalid `signer_lists` value, the
API should return an "invalidParams" error.
`signer_lists` should have a value of type boolean. If it is not a
boolean, then it is invalid input. The response now indicates that.
* This is an API breaking change, so the change is only reflected for
requests containing `"api_version": 2`
* Fix#4539
Certain inputs for the AccountTx method should return an error. In other
words, an invalid request from a user or client now results in an error
message.
Since this can change the response from the API, it is an API breaking
change. This commit maintains backward compatibility by keeping the
existing behavior for existing requests. When clients specify
"api_version": 2, they will be able to get the updated error messages.
Update unit tests to check the error based on the API version.
* Fix#4288
* Fix#4545
Enhance the /crawl endpoint by publishing WebSocket/RPC ports in the
server_info response. The function processing requests to the /crawl
endpoint actually calls server_info internally, so this change enables a
server to advertise its WebSocket/RPC port(s) to peers via the /crawl
endpoint. `grpc` and `peer` ports are included as well.
The new `ports` array contains objects, each containing a `port` for the
listening port (number string), and an array `protocol` listing the
supported protocol(s).
This allows crawlers to build a richer topology without needing to
port-scan nodes. For non-admin users (including peers), the info about
*admin* ports is excluded.
Also increase test coverage for RPC ServerInfo.
Fix#2837.