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# SQL Helper
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This page contains some help if you want to edit your sqlite db.
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## Install sqlite3
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Sqlite3 is a terminal based sqlite application.
Feel free to use a visual Database editor like SqliteBrowser if you feel more comfortable with that.
### Ubuntu/Debian installation
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```bash
sudo apt-get install sqlite3
```
## Open the DB
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```bash
sqlite3
.open < filepath >
```
## Table structure
### List tables
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```bash
.tables
```
### Display table structure
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```bash
.schema < table_name >
```
### Trade table structure
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```sql
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CREATE TABLE trades
id INTEGER NOT NULL,
exchange VARCHAR NOT NULL,
pair VARCHAR NOT NULL,
is_open BOOLEAN NOT NULL,
fee_open FLOAT NOT NULL,
fee_open_cost FLOAT,
fee_open_currency VARCHAR,
fee_close FLOAT NOT NULL,
fee_close_cost FLOAT,
fee_close_currency VARCHAR,
open_rate FLOAT,
open_rate_requested FLOAT,
open_trade_price FLOAT,
close_rate FLOAT,
close_rate_requested FLOAT,
close_profit FLOAT,
close_profit_abs FLOAT,
stake_amount FLOAT NOT NULL,
amount FLOAT,
open_date DATETIME NOT NULL,
close_date DATETIME,
open_order_id VARCHAR,
stop_loss FLOAT,
stop_loss_pct FLOAT,
initial_stop_loss FLOAT,
initial_stop_loss_pct FLOAT,
stoploss_order_id VARCHAR,
stoploss_last_update DATETIME,
max_rate FLOAT,
min_rate FLOAT,
sell_reason VARCHAR,
strategy VARCHAR,
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timeframe INTEGER,
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PRIMARY KEY (id),
CHECK (is_open IN (0, 1))
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);
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CREATE INDEX ix_trades_stoploss_order_id ON trades (stoploss_order_id);
CREATE INDEX ix_trades_pair ON trades (pair);
CREATE INDEX ix_trades_is_open ON trades (is_open);
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```
## Get all trades in the table
```sql
SELECT * FROM trades;
```
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## Fix trade still open after a manual sell on the exchange
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!!! Warning
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Manually selling a pair on the exchange will not be detected by the bot and it will try to sell anyway. Whenever possible, forcesell < tradeid > should be used to accomplish the same thing.
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It is strongly advised to backup your database file before making any manual changes.
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!!! Note
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This should not be necessary after /forcesell, as forcesell orders are closed automatically by the bot on the next iteration.
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```sql
UPDATE trades
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SET is_open=0,
close_date=< close_date > ,
close_rate=< close_rate > ,
close_profit=close_rate/open_rate-1,
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close_profit_abs = (amount * <close_rate> * (1 - fee_close) - (amount * open_rate * 1 - fee_open)),
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sell_reason=< sell_reason >
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WHERE id=< trade_ID_to_update > ;
```
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### Example
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```sql
UPDATE trades
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SET is_open=0,
close_date='2017-12-20 03:08:45.103418',
close_rate=0.19638016,
close_profit=0.0496,
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close_profit_abs = (amount * 0.19638016 * (1 - fee_close) - (amount * open_rate * 1 - fee_open))
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sell_reason='force_sell'
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WHERE id=31;
```
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## Insert manually a new trade
```sql
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INSERT INTO trades (exchange, pair, is_open, fee_open, fee_close, open_rate, stake_amount, amount, open_date)
VALUES ('bittrex', 'ETH/BTC', 1, 0.0025, 0.0025, < open_rate > , < stake_amount > , < amount > , '< datetime > ')
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```
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##### Example:
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```sql
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INSERT INTO trades (exchange, pair, is_open, fee_open, fee_close, open_rate, stake_amount, amount, open_date)
VALUES ('bittrex', 'ETH/BTC', 1, 0.0025, 0.0025, 0.00258580, 0.002, 0.7715262081, '2017-11-28 12:44:24.000000')
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```