Like you'd think:
- `load_ledger()` -> ._ledger
- `load_accounrt()` -> ._pos
Also fixup the old `load_pps_from_ledger()` and expose it from a new
`.accounting.cli.disect` cli cmd for trying to figure out why pp calcs
are totally mucked on stupid ib..
Use dynamic lookups instead by mapping to the correct http session and
endpoints path using the venue routing/mode key. This let's us simplify
from 3 methods down to a single `Client._api()` which either can be
passed the `venue: str` explicitly by the caller (as is needed in the
`._cache_pairs()` case) or falls back to the client's current
`.mkt_mode: str` setting B)
Deatz:
- add couple more tables to suffice all authed-endpoint use cases:
- `.venue2configkey: dict[str, str]` which maps the venue key to the
`brokers.toml` subsection which should be used for auth creds and
testnet config.
- `.confkey2venuekeys: dict[str, list[str]]` which maps each config
subsection key to the list of venue name keys for doing config to
venues lookup.
- always build out testnet sessions for spot and futes venues (though if
not set the sessions obviously won't ever be used).
- add and use new `config.ConfigurationError` custom exceptions when api
creds are missing.
- rename `action: str` to `method: str` in `._api()` since it's the
proper ReST term and switch what was "method" to be `endpoint: str`.
- mask out `.get_positions()` since we can get that from a user stream
wss request (and are doing that).
- (in theory) import and use spot testnet url as necessary.
First draft originally by @guilledk but update by myself 2 years later
xD. Will crash at runtime but at least has the machinery to setup signed
requests for auth-ed endpoints B)
Also adds a generic `NoSignature` error for when credentials are not
present in `brokers.toml` but user is trying to access auth-ed eps with
the client.
So that we aren't creating blank files for legacy configs (as we do name
changes or wtv). Further change `.get_conf_path()` to validate against
new `account.` prefix and a god `conf.toml` file.
Allows for direct loading of an "account file configuration" contents
without having to pass the explicit config dir path. In this case we are
also rewriting the `pps.<brokername>.<accnt_name>.toml` file names to
instead have a `account.` prefix, but providing this helper function
allows such changes more easily in the future - since callers won't have
to use the lower level `.load()` input signature.
Also add some todo comments about moving to `tomlkit`.
Been meaning to do this port for a while and since it makes passing
around file handles (presumably alongside the in mem obj form) a lot
simpler/nicer and the implementations of all the config file handling
much more terse with less presumptions about the form of filename/dir
`str` values all over the place B)
moar technically, let's us:
- drop remaining `.config` usage of `os.path`.
- return `Path`s from most routines.
- adds a special case to `get_conf_path()` such that if the input name
contains a `pps.` pattern, we avoid validating the name; this is going
to be used by new `.accounting.open_pps()` code which will instead
write a separate TOML file for each account B)
Provides a more correct solution (particularly for distributed testing)
to override the `piker` configuration directory by reading the path from
a specific `tractor._state._runtime_vars` entry that can be provided by
the test harness.
Also fix some typing and comments.