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>
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
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
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>
The existing logic involves every server sending every transaction
that it receives to all its peers (except the one that it received
a transaction from).
This commit instead uses a randomized algorithm, where a node will
randomly select peers to relay a given transaction to, caching the
list of transaction hashes that are not relayed and forwading them
to peers once every second. Peers can then determine whether there
are transactions that they have not seen and can request them from
the node which has them.
It is expected that this feature will further reduce the bandwidth
needed to operate a server.
* Add a new operating mode to rippled called reporting mode
* Add ETL mechanism for a reporting node to extract data from a p2p node
* Add new gRPC methods to faciliate ETL
* Use Postgres in place of SQLite in reporting mode
* Add Cassandra as a nodestore option
* Update logic of RPC handlers when running in reporting mode
* Add ability to forward RPCs to a p2p node
- Add support for all transaction types and ledger object types to gRPC
implementation of tx and account_tx.
- Create common handlers for tx and account_tx.
- Remove mutex and abort() from gRPC server. JobQueue is stopped before
gRPC server, with all coroutines executed to completion, so no need for
synchronization.
This commit allows server operators to reserve slots for specific
peers (identified by the peer's public node identity) and to make
changes to the reservations while the server is operating.
This commit closes#2938
The 'validation_seed' RPC command was used to change the validation
key used by a validator at runtime.
Its implementation was commented out with commit fa796a2eb5
which has been included in the codebase since the 0.30.0 release
and there are no plans to reintroduce the functionality at this
point.
Validator operators should migrate to using validator manifests
instead.
This fixes#2748.
* If rippled is not synced to the network, `fee` will return a
"no network" error instead of the possibly confusing "not enabled"
error.
* Resolves RIPD-1588
The lsfDepositAuth flag limits the AccountIDs that can deposit into
the account that has the flag set. The original design only
allowed deposits to complete if the account with the flag set also
signed the transaction that caused the deposit.
The DepositPreauth ledger type allows an account with the
lsfDepositAuth flag set to preauthorize additional accounts.
This preauthorization allows them to sign deposits as well. An
account can add DepositPreauth objects to the ledger (and remove
them as well) using the DepositPreauth transaction.
* Tally and duration counters for Job Queue tasks and RPC calls
optionally rendered by server_info and server_state, and
optionally printed to a distinct log file.
- Tally each Job Queue task as it is queued, starts, and
finishes running. Track total duration queued and running.
- Tally each RPC call as it starts and either finishes
successfully or throws an exception. Track total running
duration for each.
* Track currently executing Job Queue tasks and RPC methods
along with durations.
* Json-formatted performance log file written by a dedicated
thread, for above-described data.
* New optional parameter, "counters", for server_info and
server_state. If set, render Job Queue and RPC call counters
as well as currently executing tasks.
* New configuration section, "[perf]", to optionally control
performance logging to a file.
* Support optional sub-second periods when rendering human-readable
time points.
In support of dynamic validator list, this changeset:
1. Adds a new `validator_list_expires` field to `server_info` that
indicates when the current validator list will become stale.
2. Adds a new admin only `validator_lists` RPC that returns the
current list of known validators and the most recent published validator
lists.
3. Adds a new admin only `validator_sites` RPC that returns the list of
configured validator publisher sites and when they were most recently
queried.
* RPC `ledger` command returns all queue entries in "queue_data"
when requesting open ledger, and including boolean "queue: true".
* Includes queue state. e.g.: fee_level, retries, last_result, tx.
* Respects "expand" and "binary" parameters for the txs.
* Remove some unused code.
Payment channels permit off-ledger checkpoints of XRP payments flowing
in a single direction. A channel sequesters the owner's XRP in its own
ledger entry. The owner can authorize the recipient to claim up to a
give balance by giving the receiver a signed message (off-ledger). The
recipient can use this signed message to claim any unpaid balance while
the channel remains open. The owner can top off the line as needed. If
the channel has not paid out all its funds, the owner must wait out a
delay to close the channel to give the recipient a chance to supply any
claims. The recipient can close the channel at any time. Any transaction
that touches the channel after the expiration time will close the
channel. The total amount paid increases monotonically as newer claims
are issued. When the channel is closed any remaining balance is returned
to the owner. Channels are intended to permit intermittent off-ledger
settlement of ILP trust lines as balances get substantial. For
bidirectional channels, a payment channel can be used in each direction.
The new code removes the ability to specify domain names
in the [validators] configuration block, and no longer
supports the [validators_site] option.
More details on the supported configurations are available
under doc/rippled-example.cfg.
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.
Eventually multisign will need to be enabled onto the network, at
which point compiling it in or out will no longer be an option.
In preparation, the compile guards are removed and multisign is
being enabled with a Feature.
You can locally enable a Feature using your config file. To
enable multisign with your config file add a section like this:
[features]
MultiSign
The exact spelling and capitalization of both "features" and
"MultiSign" is important. If you don't get those right multisign
will not be enabled.
There is a minor issue. The "sign_for" and "submit_multisigned"
RPC commands are only enabled if multisign is enabled. However
those commands are still shown in the help message even if
multisign is disabled. This is because the code that produces
the help message doesn't read the config file (where the Features
are kept). This problem will become irrelevant once multisign is
enabled onto the network.