* Standardize names of LedgerConsensusImp members
* Rework visitStoredProposals
* Clean up mapComplete
* Move status helpers out of LedgerConsensusImp
* Move applyTransaction out of LedgerConsensusUmp
* Clean up applyTransactions
With the addition of multisigning there are a variety of reasons
a signature may fail. We now return a more descriptive message
for the reason certain signature checks fail.
tapENABLE_TESTING is removed from checks, and feature enablement
is the sole method for activating features. Unit tests are updated
to enable required features in the construction of the Env.
Tickets are put on a feature switch instead of a build macro.
* Move InboundTransactions to app/ledger
* Move TransactionAcquire to app/ledger
* Move LocalTxs to app/ledger
* Move Transaction to app/misc
* Move TransactionMaster to app/ledger
The first few transactions are added to the open ledger at
the base fee (ie. 10 drops). Once enough transactions are
added, the required fee will jump dramatically. If additional
transactions are added, the fee will grow exponentially.
Transactions that don't have a high enough fee to be applied to
the ledger are added to the queue in order from highest fee to
lowest. Whenever a new ledger is accepted as validated, transactions
are first applied from the queue to the open ledger in fee order
until either all transactions are applied or the fee again jumps
too high for the remaining transactions.
Current implementation is restricted to one transaction in the
queue per account. Some groundwork has been laid to expand in
the future.
Note that this fee logic escalates independently of the load-based
fee logic (ie. LoadFeeTrack). Submitted transactions must meet
the load fee to be considered for the queue, and must meet both
fees to be put into open ledger.
* All checks flow through ripple::checkValidity, which transparently caches result flags.
* All external transaction submission code paths use checkValidity.
* SF_SIGGOOD flag no longer appears outside of HashRouter / checkValidity.
* Validity can be forced in known or trusted scenarios.
This non-production config section allows features to be enabled
by listing their text descriptions, one line each, in the config
section titled "features".
NOTE: Feature names with leading or trailing whitespace, or
containing an equals sign ('=') are not supported.
The preflight() function performs static validity
analysis of transactions without requiring a ledger.
* Use tx in ApplyContext
* Remove unused journal
* Document apply()
* Add preflight(), which takes an OpenView, uses its rules.
* Change `TER preCheck` to `void preCompute` since it can no longer fail.
The View hierarchy of classes is reorganized to include new
classes with member functions moved and renamed, to solve
defects in the original design:
OpenView accumulates raw state and tx changes and
can be applied to the base. ApplyView accumulates changes
for a single transaction, including metadata, and can be
applied to an OpenView. The Sandbox allows changes with
the option to apply or throw them out. The PaymentSandbox
provides a sandbox with account credit deferral.
Call sites are changed to use the class appropriate for
the task.
This tidies up the View interface and makes transaction
application a free function, with the removal of the
TransactionEngine class. A new class ApplyContext provides
all the state information needed to apply a Transactor. The
Transactor is refactored to perform all the processing
activities previously part of TransactionEngine.
The calculation of metadata from a MetaView is improved.
A new apply function performs all the steps for calculating
and inserting metadata into the tx map.
Transaction processing code path is passed a Config instead
of retrieving the global, and uses the Journal supplied in
the call to apply() consistently.
To support transaction processing and RPC operations, a
new POD type ViewInfo is added which consolidates static
information about open and closed ledgers, such as the ledger
sequence number or the closing times. Ledger and MetaView are
refactored to use this info.
The ViewInfo now contains the "open ledger" setting. The
tapOPEN_LEDGER ViewFlag is removed. The view property of
being an open ledger is obtained from the base or by using
the MetaView constructor which presents a closed ledger as
an open one.
View, MetaView:
* Fix missing includes
* Add apply free function
* Use Journal in TransactionEngine
* Use BasicView in TransactionEngine
* inline NetworkOPs::batchApply
* Add shallow_copy, open_ledger MetaView ctor tags
* Add ViewInfo with open flag, seq, close times
* Make parent_ a reference
* Tidy up ctor arguments and base_ name
* Remove tapOPEN_LEDGER
* add assert to MetaView::apply
* ViewInfo comment
* Throw, pass Journal in txInsert
* Add BasicView::txCount
TransactionEngine:
* Add apply
* Make TransactionEngine private
* Refactor MetaView::apply and apply()
* Rename to TxMeta
* Refactor treatment of metadata in MetaView, TransactionEngine
* Rename to ApplyContext
* Use ApplyContext& in Transactor
* Pass Config in ApplyContext
* Declare Transactor classes in headers
* Use view flags in Transactor