Refactor to avoid global state while testing

explicit_write_pps_on_exit
jaredgoldman 2023-02-24 19:09:36 -05:00
parent 4c2e776e01
commit 76736a5441
1 changed files with 48 additions and 67 deletions

View File

@ -74,6 +74,8 @@ def test_paper_trade(open_test_pikerd: AsyncContextManager, delete_testing_dir):
action: Literal["buy", "sell"] | None = None,
price: int = 30000,
assert_entries: bool = False,
assert_pps: bool = False,
assert_zeroed_pps: bool = False,
) -> None:
"""Spawn a paper piper actor, place a trade and assert entries are present
in both trade ledger and pps tomls. Then restart piker and ensure
@ -115,95 +117,74 @@ def test_paper_trade(open_test_pikerd: AsyncContextManager, delete_testing_dir):
await trio.sleep(2)
# Assert entries are made in both ledger and PPS
if assert_entries:
cleared_ledger_entry = {}
with open_trade_ledger(broker, test_account) as ledger:
cleared_ledger_entry = ledger[oid]
assert list(ledger.keys())[-1] == oid
assert cleared_ledger_entry["size"] == test_size
assert cleared_ledger_entry["fqsn"] == fqsn
with open_pps(broker, test_pp_account) as table:
pp_price = table.conf[broker][test_pp_account][fqsn]["ppu"]
# Ensure the price-per-unit (breakeven) price is close to our clearing price
assert math.isclose(
pp_price, cleared_ledger_entry["size"], rel_tol=1
)
assert table.brokername == broker
assert table.acctid == test_pp_account
positions = pps
if assert_entries or assert_pps or assert_zeroed_pps:
_assert(assert_entries, assert_pps, assert_zeroed_pps, pps)
# Close piker like a user would
raise KeyboardInterrupt
# def _assert_entries():
# cleared_ledger_entry = {}
# with open_trade_ledger(broker, test_account) as ledger:
# cleared_ledger_entry = ledger[oid]
# assert list(ledger.keys())[-1] == oid
# assert cleared_ledger_entry["size"] == test_size
# assert cleared_ledger_entry["fqsn"] == fqsn
#
# with open_pps(broker, test_pp_account, False) as table:
# pp_price = table.conf[broker][test_pp_account][fqsn]["ppu"]
# # Ensure the price-per-unit (breakeven) price is close to our clearing price
# assert math.isclose(
# pp_price, cleared_ledger_entry["size"], rel_tol=1
# )
# assert table.brokername == broker
# assert table.acctid == test_pp_account
#
# Open piker load pps locally
# and ensure last pps price is the same as ledger entry
def _assert_pps(ledger, table):
assert positions[(broker, test_account)][-1]["avg_price"] == ledger[oid]["price"]
def _assert_no_pps(ledger, table):
print(f"positions: {positions}")
assert not bool(table)
# return len(table.pps) == 0
# Close position and assert empty position in pps
def _run_test_and_check(exception, fn, assert_cb=None):
with pytest.raises(exception) as exc_info:
trio.run(fn)
def _assert(assert_entries: bool, assert_pps: bool, assert_zerod_pps, pps):
with (
open_trade_ledger(broker, test_account) as ledger,
open_pps(broker, test_pp_account) as table,
):
if assert_cb:
assert_cb(ledger, table)
# assert that entires are have been written
if assert_entries:
cleared_ledger_entry = ledger[oid]
assert list(ledger.keys())[-1] == oid
assert cleared_ledger_entry["size"] == test_size
assert cleared_ledger_entry["fqsn"] == fqsn
pp_price = table.conf[broker][test_pp_account][fqsn]["ppu"]
# Ensure the price-per-unit (breakeven) price is close to our clearing price
assert math.isclose(pp_price, cleared_ledger_entry["size"], rel_tol=1)
assert table.brokername == broker
assert table.acctid == test_pp_account
for exception in exc_info.value.exceptions:
assert isinstance(exception, KeyboardInterrupt) or isinstance(
exception, ContextCancelled
# assert that the last pps price is the same as the ledger price
if assert_pps:
assert (
pps[(broker, test_account)][-1]["avg_price"] == ledger[oid]["price"]
)
if assert_zerod_pps:
# assert that positions are present
assert not bool(table)
# Close position and assert empty position in pps
def _run_test_and_check(exception, fn):
with pytest.raises(exception) as exc_info:
trio.run(fn)
for exception in exc_info.value.exceptions:
assert isinstance(exception, KeyboardInterrupt) or isinstance(
exception, ContextCancelled
)
# Setablend and execute a trade and assert trade
_run_test_and_check(
BaseExceptionGroup,
partial(_async_main, action="buy", assert_entries=True),
)
_run_test_and_check(
BaseExceptionGroup,
partial(_async_main, assert_pps=True),
)
_run_test_and_check(
BaseExceptionGroup,
partial(
_async_main,
action="buy",
_async_main, action="sell", price=1
),
# _assert_entries
)
_run_test_and_check(
BaseExceptionGroup,
partial(_async_main),
_assert_pps,
partial(
_async_main, assert_zeroed_pps=True
),
)
_run_test_and_check(
BaseExceptionGroup,
partial(_async_main, action="sell", price=1),
_assert_no_pps,
)
# def test_paper_client(open_test_pikerd: AsyncContextManager):