diff --git a/docs/advanced-hyperopt.md b/docs/advanced-hyperopt.md index 1ace61769..bead18038 100644 --- a/docs/advanced-hyperopt.md +++ b/docs/advanced-hyperopt.md @@ -63,7 +63,7 @@ class SuperDuperHyperOptLoss(IHyperOptLoss): * 0.25: Avoiding trade loss * 1.0 to total profit, compared to the expected value (`EXPECTED_MAX_PROFIT`) defined above """ - total_profit = results['profit_percent'].sum() + total_profit = results['profit_ratio'].sum() trade_duration = results['trade_duration'].mean() trade_loss = 1 - 0.25 * exp(-(trade_count - TARGET_TRADES) ** 2 / 10 ** 5.8) @@ -77,10 +77,10 @@ Currently, the arguments are: * `results`: DataFrame containing the result The following columns are available in results (corresponds to the output-file of backtesting when used with `--export trades`): - `pair, profit_percent, profit_abs, open_date, open_rate, open_fee, close_date, close_rate, close_fee, amount, trade_duration, open_at_end, sell_reason` + `pair, profit_ratio, profit_abs, open_date, open_rate, fee_open, close_date, close_rate, fee_close, amount, trade_duration, is_open, sell_reason, stake_amount, min_rate, max_rate, stop_loss_ratio, stop_loss_abs` * `trade_count`: Amount of trades (identical to `len(results)`) -* `min_date`: Start date of the hyperopting TimeFrame -* `min_date`: End date of the hyperopting TimeFrame +* `min_date`: Start date of the timerange used +* `min_date`: End date of the timerange used This function needs to return a floating point number (`float`). Smaller numbers will be interpreted as better results. The parameters and balancing for this is up to you. diff --git a/docs/backtesting.md b/docs/backtesting.md index 27bfebe37..e1ab1c72d 100644 --- a/docs/backtesting.md +++ b/docs/backtesting.md @@ -262,9 +262,9 @@ It contains some useful key metrics about performance of your strategy on backte ``` - `Backtesting from` / `Backtesting to`: Backtesting range (usually defined with the `--timerange` option). -- `Max open trades`: Setting of `max_open_trades` (or `--max-open-trades`) - to clearly see settings for this. +- `Max open trades`: Setting of `max_open_trades` (or `--max-open-trades`) - or number of pairs in the pairlist (whatever is lower). - `Total trades`: Identical to the total trades of the backtest output table. -- `Total Profit %`: Total profit per stake amount. Aligned to the TOTAL column of the first table. +- `Total Profit %`: Total profit. Aligned to the `TOTAL` row's `Tot Profit %` from the first table. - `Trades per day`: Total trades divided by the backtesting duration in days (this will give you information about how many trades to expect from the strategy). - `Best Pair` / `Worst Pair`: Best and worst performing pair, and it's corresponding `Cum Profit %`. - `Best Trade` / `Worst Trade`: Biggest winning trade and biggest losing trade diff --git a/freqtrade/data/btanalysis.py b/freqtrade/data/btanalysis.py index 2b51f5371..c004a4d23 100644 --- a/freqtrade/data/btanalysis.py +++ b/freqtrade/data/btanalysis.py @@ -2,9 +2,8 @@ Helpers when analyzing backtest data """ import logging -from datetime import timezone from pathlib import Path -from typing import Any, Dict, Optional, Tuple, Union +from typing import Any, Dict, List, Optional, Tuple, Union import numpy as np import pandas as pd @@ -16,9 +15,22 @@ from freqtrade.persistence import Trade, init_db logger = logging.getLogger(__name__) -# must align with columns in backtest.py -BT_DATA_COLUMNS = ["pair", "profit_percent", "open_date", "close_date", "index", "trade_duration", - "open_rate", "close_rate", "open_at_end", "sell_reason"] +# Old format - maybe remove? +BT_DATA_COLUMNS_OLD = ["pair", "profit_percent", "open_date", "close_date", "index", + "trade_duration", "open_rate", "close_rate", "open_at_end", "sell_reason"] + +# Mid-term format, crated by BacktestResult Named Tuple +BT_DATA_COLUMNS_MID = ['pair', 'profit_percent', 'open_date', 'close_date', 'trade_duration', + 'open_rate', 'close_rate', 'open_at_end', 'sell_reason', 'fee_open', + 'fee_close', 'amount', 'profit_abs', 'profit_ratio'] + +# Newest format +BT_DATA_COLUMNS = ['pair', 'stake_amount', 'amount', 'open_date', 'close_date', + 'open_rate', 'close_rate', + 'fee_open', 'fee_close', 'trade_duration', + 'profit_ratio', 'profit_abs', 'sell_reason', + 'initial_stop_loss_abs', 'initial_stop_loss_ratio', 'stop_loss_abs', + 'stop_loss_ratio', 'min_rate', 'max_rate', 'is_open', ] def get_latest_optimize_filename(directory: Union[Path, str], variant: str) -> str: @@ -154,7 +166,7 @@ def load_backtest_data(filename: Union[Path, str], strategy: Optional[str] = Non ) else: # old format - only with lists. - df = pd.DataFrame(data, columns=BT_DATA_COLUMNS) + df = pd.DataFrame(data, columns=BT_DATA_COLUMNS_OLD) df['open_date'] = pd.to_datetime(df['open_date'], unit='s', @@ -166,7 +178,10 @@ def load_backtest_data(filename: Union[Path, str], strategy: Optional[str] = Non utc=True, infer_datetime_format=True ) + # Create compatibility with new format df['profit_abs'] = df['close_rate'] - df['open_rate'] + if 'profit_ratio' not in df.columns: + df['profit_ratio'] = df['profit_percent'] df = df.sort_values("open_date").reset_index(drop=True) return df @@ -209,6 +224,20 @@ def evaluate_result_multi(results: pd.DataFrame, timeframe: str, return df_final[df_final['open_trades'] > max_open_trades] +def trade_list_to_dataframe(trades: List[Trade]) -> pd.DataFrame: + """ + Convert list of Trade objects to pandas Dataframe + :param trades: List of trade objects + :return: Dataframe with BT_DATA_COLUMNS + """ + df = pd.DataFrame.from_records([t.to_json() for t in trades], columns=BT_DATA_COLUMNS) + if len(df) > 0: + df.loc[:, 'close_date'] = pd.to_datetime(df['close_date'], utc=True) + df.loc[:, 'open_date'] = pd.to_datetime(df['open_date'], utc=True) + df.loc[:, 'close_rate'] = df['close_rate'].astype('float64') + return df + + def load_trades_from_db(db_url: str, strategy: Optional[str] = None) -> pd.DataFrame: """ Load trades from a DB (using dburl) @@ -219,36 +248,10 @@ def load_trades_from_db(db_url: str, strategy: Optional[str] = None) -> pd.DataF """ init_db(db_url, clean_open_orders=False) - columns = ["pair", "open_date", "close_date", "profit", "profit_percent", - "open_rate", "close_rate", "amount", "trade_duration", "sell_reason", - "fee_open", "fee_close", "open_rate_requested", "close_rate_requested", - "stake_amount", "max_rate", "min_rate", "id", "exchange", - "stop_loss", "initial_stop_loss", "strategy", "timeframe"] - filters = [] if strategy: filters.append(Trade.strategy == strategy) - - trades = pd.DataFrame([(t.pair, - t.open_date.replace(tzinfo=timezone.utc), - t.close_date.replace(tzinfo=timezone.utc) if t.close_date else None, - t.calc_profit(), t.calc_profit_ratio(), - t.open_rate, t.close_rate, t.amount, - (round((t.close_date.timestamp() - t.open_date.timestamp()) / 60, 2) - if t.close_date else None), - t.sell_reason, - t.fee_open, t.fee_close, - t.open_rate_requested, - t.close_rate_requested, - t.stake_amount, - t.max_rate, - t.min_rate, - t.id, t.exchange, - t.stop_loss, t.initial_stop_loss, - t.strategy, t.timeframe - ) - for t in Trade.get_trades(filters).all()], - columns=columns) + trades = trade_list_to_dataframe(Trade.get_trades(filters).all()) return trades diff --git a/freqtrade/optimize/backtesting.py b/freqtrade/optimize/backtesting.py index 106d0f200..3186313e1 100644 --- a/freqtrade/optimize/backtesting.py +++ b/freqtrade/optimize/backtesting.py @@ -7,13 +7,14 @@ import logging from collections import defaultdict from copy import deepcopy from datetime import datetime, timedelta, timezone -from typing import Any, Dict, List, NamedTuple, Optional, Tuple +from typing import Any, Dict, List, Optional, Tuple from pandas import DataFrame from freqtrade.configuration import TimeRange, remove_credentials, validate_config_consistency from freqtrade.constants import DATETIME_PRINT_FORMAT from freqtrade.data import history +from freqtrade.data.btanalysis import trade_list_to_dataframe from freqtrade.data.converter import trim_dataframe from freqtrade.data.dataprovider import DataProvider from freqtrade.exceptions import OperationalException @@ -41,25 +42,6 @@ LOW_IDX = 5 HIGH_IDX = 6 -class BacktestResult(NamedTuple): - """ - NamedTuple Defining BacktestResults inputs. - """ - pair: str - profit_percent: float - profit_abs: float - open_date: datetime - open_rate: float - open_fee: float - close_date: datetime - close_rate: float - close_fee: float - amount: float - trade_duration: float - open_at_end: bool - sell_reason: SellType - - class Backtesting: """ Backtesting class, this class contains all the logic to run a backtest @@ -264,7 +246,7 @@ class Backtesting: else: return sell_row[OPEN_IDX] - def _get_sell_trade_entry(self, trade: Trade, sell_row: Tuple) -> Optional[BacktestResult]: + def _get_sell_trade_entry(self, trade: Trade, sell_row: Tuple) -> Optional[Trade]: sell = self.strategy.should_sell(trade, sell_row[OPEN_IDX], sell_row[DATE_IDX], sell_row[BUY_IDX], sell_row[SELL_IDX], @@ -276,25 +258,12 @@ class Backtesting: trade.close_date = sell_row[DATE_IDX] trade.sell_reason = sell.sell_type trade.close(closerate, show_msg=False) + return trade - return BacktestResult(pair=trade.pair, - profit_percent=trade.calc_profit_ratio(rate=closerate), - profit_abs=trade.calc_profit(rate=closerate), - open_date=trade.open_date, - open_rate=trade.open_rate, - open_fee=self.fee, - close_date=sell_row[DATE_IDX], - close_rate=closerate, - close_fee=self.fee, - amount=trade.amount, - trade_duration=trade_dur, - open_at_end=False, - sell_reason=sell.sell_type - ) return None def handle_left_open(self, open_trades: Dict[str, List[Trade]], - data: Dict[str, List[Tuple]]) -> List[BacktestResult]: + data: Dict[str, List[Tuple]]) -> List[Trade]: """ Handling of left open trades at the end of backtesting """ @@ -304,24 +273,11 @@ class Backtesting: for trade in open_trades[pair]: sell_row = data[pair][-1] - trade_entry = BacktestResult(pair=trade.pair, - profit_percent=trade.calc_profit_ratio( - rate=sell_row[OPEN_IDX]), - profit_abs=trade.calc_profit(sell_row[OPEN_IDX]), - open_date=trade.open_date, - open_rate=trade.open_rate, - open_fee=self.fee, - close_date=sell_row[DATE_IDX], - close_rate=sell_row[OPEN_IDX], - close_fee=self.fee, - amount=trade.amount, - trade_duration=int(( - sell_row[DATE_IDX] - trade.open_date - ).total_seconds() // 60), - open_at_end=True, - sell_reason=SellType.FORCE_SELL - ) - trades.append(trade_entry) + trade.close_date = sell_row[DATE_IDX] + trade.sell_reason = SellType.FORCE_SELL + trade.close(sell_row[OPEN_IDX], show_msg=False) + trade.is_open = True + trades.append(trade) return trades def backtest(self, processed: Dict, stake_amount: float, @@ -348,7 +304,7 @@ class Backtesting: f"start_date: {start_date}, end_date: {end_date}, " f"max_open_trades: {max_open_trades}, position_stacking: {position_stacking}" ) - trades = [] + trades: List[Trade] = [] self.prepare_backtest(enable_protections) # Use dict of lists with data for performance @@ -429,7 +385,7 @@ class Backtesting: trades += self.handle_left_open(open_trades, data=data) - return DataFrame.from_records(trades, columns=BacktestResult._fields) + return trade_list_to_dataframe(trades) def backtest_one_strategy(self, strat: IStrategy, data: Dict[str, Any], timerange: TimeRange): logger.info("Running backtesting for Strategy %s", strat.get_strategy_name()) diff --git a/freqtrade/optimize/default_hyperopt_loss.py b/freqtrade/optimize/default_hyperopt_loss.py index 9dbdc4403..3712fd9a6 100644 --- a/freqtrade/optimize/default_hyperopt_loss.py +++ b/freqtrade/optimize/default_hyperopt_loss.py @@ -42,7 +42,7 @@ class ShortTradeDurHyperOptLoss(IHyperOptLoss): * 0.25: Avoiding trade loss * 1.0 to total profit, compared to the expected value (`EXPECTED_MAX_PROFIT`) defined above """ - total_profit = results['profit_percent'].sum() + total_profit = results['profit_ratio'].sum() trade_duration = results['trade_duration'].mean() trade_loss = 1 - 0.25 * exp(-(trade_count - TARGET_TRADES) ** 2 / 10 ** 5.8) diff --git a/freqtrade/optimize/hyperopt.py b/freqtrade/optimize/hyperopt.py index d4b9f4c3b..d0cdceaeb 100644 --- a/freqtrade/optimize/hyperopt.py +++ b/freqtrade/optimize/hyperopt.py @@ -574,20 +574,20 @@ class Hyperopt: } def _calculate_results_metrics(self, backtesting_results: DataFrame) -> Dict: - wins = len(backtesting_results[backtesting_results.profit_percent > 0]) - draws = len(backtesting_results[backtesting_results.profit_percent == 0]) - losses = len(backtesting_results[backtesting_results.profit_percent < 0]) + wins = len(backtesting_results[backtesting_results['profit_ratio'] > 0]) + draws = len(backtesting_results[backtesting_results['profit_ratio'] == 0]) + losses = len(backtesting_results[backtesting_results['profit_ratio'] < 0]) return { 'trade_count': len(backtesting_results.index), 'wins': wins, 'draws': draws, 'losses': losses, 'winsdrawslosses': f"{wins:>4} {draws:>4} {losses:>4}", - 'avg_profit': backtesting_results.profit_percent.mean() * 100.0, - 'median_profit': backtesting_results.profit_percent.median() * 100.0, - 'total_profit': backtesting_results.profit_abs.sum(), - 'profit': backtesting_results.profit_percent.sum() * 100.0, - 'duration': backtesting_results.trade_duration.mean(), + 'avg_profit': backtesting_results['profit_ratio'].mean() * 100.0, + 'median_profit': backtesting_results['profit_ratio'].median() * 100.0, + 'total_profit': backtesting_results['profit_abs'].sum(), + 'profit': backtesting_results['profit_ratio'].sum() * 100.0, + 'duration': backtesting_results['trade_duration'].mean(), } def _format_results_explanation_string(self, results_metrics: Dict) -> str: diff --git a/freqtrade/optimize/hyperopt_loss_onlyprofit.py b/freqtrade/optimize/hyperopt_loss_onlyprofit.py index 43176dbad..33f3f5bc6 100644 --- a/freqtrade/optimize/hyperopt_loss_onlyprofit.py +++ b/freqtrade/optimize/hyperopt_loss_onlyprofit.py @@ -34,5 +34,5 @@ class OnlyProfitHyperOptLoss(IHyperOptLoss): """ Objective function, returns smaller number for better results. """ - total_profit = results['profit_percent'].sum() + total_profit = results['profit_ratio'].sum() return 1 - total_profit / EXPECTED_MAX_PROFIT diff --git a/freqtrade/optimize/hyperopt_loss_sharpe.py b/freqtrade/optimize/hyperopt_loss_sharpe.py index 232fb33b6..2c8ae552d 100644 --- a/freqtrade/optimize/hyperopt_loss_sharpe.py +++ b/freqtrade/optimize/hyperopt_loss_sharpe.py @@ -28,7 +28,7 @@ class SharpeHyperOptLoss(IHyperOptLoss): Uses Sharpe Ratio calculation. """ - total_profit = results["profit_percent"] + total_profit = results["profit_ratio"] days_period = (max_date - min_date).days # adding slippage of 0.1% per trade diff --git a/freqtrade/optimize/hyperopt_loss_sharpe_daily.py b/freqtrade/optimize/hyperopt_loss_sharpe_daily.py index bcba73a7f..9520123ee 100644 --- a/freqtrade/optimize/hyperopt_loss_sharpe_daily.py +++ b/freqtrade/optimize/hyperopt_loss_sharpe_daily.py @@ -34,9 +34,9 @@ class SharpeHyperOptLossDaily(IHyperOptLoss): annual_risk_free_rate = 0.0 risk_free_rate = annual_risk_free_rate / days_in_year - # apply slippage per trade to profit_percent - results.loc[:, 'profit_percent_after_slippage'] = \ - results['profit_percent'] - slippage_per_trade_ratio + # apply slippage per trade to profit_ratio + results.loc[:, 'profit_ratio_after_slippage'] = \ + results['profit_ratio'] - slippage_per_trade_ratio # create the index within the min_date and end max_date t_index = date_range(start=min_date, end=max_date, freq=resample_freq, @@ -44,10 +44,10 @@ class SharpeHyperOptLossDaily(IHyperOptLoss): sum_daily = ( results.resample(resample_freq, on='close_date').agg( - {"profit_percent_after_slippage": sum}).reindex(t_index).fillna(0) + {"profit_ratio_after_slippage": sum}).reindex(t_index).fillna(0) ) - total_profit = sum_daily["profit_percent_after_slippage"] - risk_free_rate + total_profit = sum_daily["profit_ratio_after_slippage"] - risk_free_rate expected_returns_mean = total_profit.mean() up_stdev = total_profit.std() diff --git a/freqtrade/optimize/hyperopt_loss_sortino.py b/freqtrade/optimize/hyperopt_loss_sortino.py index c0ff0773a..b231370dd 100644 --- a/freqtrade/optimize/hyperopt_loss_sortino.py +++ b/freqtrade/optimize/hyperopt_loss_sortino.py @@ -28,7 +28,7 @@ class SortinoHyperOptLoss(IHyperOptLoss): Uses Sortino Ratio calculation. """ - total_profit = results["profit_percent"] + total_profit = results["profit_ratio"] days_period = (max_date - min_date).days # adding slippage of 0.1% per trade @@ -36,7 +36,7 @@ class SortinoHyperOptLoss(IHyperOptLoss): expected_returns_mean = total_profit.sum() / days_period results['downside_returns'] = 0 - results.loc[total_profit < 0, 'downside_returns'] = results['profit_percent'] + results.loc[total_profit < 0, 'downside_returns'] = results['profit_ratio'] down_stdev = np.std(results['downside_returns']) if down_stdev != 0: diff --git a/freqtrade/optimize/hyperopt_loss_sortino_daily.py b/freqtrade/optimize/hyperopt_loss_sortino_daily.py index 3b099a253..fac96664d 100644 --- a/freqtrade/optimize/hyperopt_loss_sortino_daily.py +++ b/freqtrade/optimize/hyperopt_loss_sortino_daily.py @@ -36,9 +36,9 @@ class SortinoHyperOptLossDaily(IHyperOptLoss): days_in_year = 365 minimum_acceptable_return = 0.0 - # apply slippage per trade to profit_percent - results.loc[:, 'profit_percent_after_slippage'] = \ - results['profit_percent'] - slippage_per_trade_ratio + # apply slippage per trade to profit_ratio + results.loc[:, 'profit_ratio_after_slippage'] = \ + results['profit_ratio'] - slippage_per_trade_ratio # create the index within the min_date and end max_date t_index = date_range(start=min_date, end=max_date, freq=resample_freq, @@ -46,17 +46,17 @@ class SortinoHyperOptLossDaily(IHyperOptLoss): sum_daily = ( results.resample(resample_freq, on='close_date').agg( - {"profit_percent_after_slippage": sum}).reindex(t_index).fillna(0) + {"profit_ratio_after_slippage": sum}).reindex(t_index).fillna(0) ) - total_profit = sum_daily["profit_percent_after_slippage"] - minimum_acceptable_return + total_profit = sum_daily["profit_ratio_after_slippage"] - minimum_acceptable_return expected_returns_mean = total_profit.mean() sum_daily['downside_returns'] = 0 sum_daily.loc[total_profit < 0, 'downside_returns'] = total_profit total_downside = sum_daily['downside_returns'] # Here total_downside contains min(0, P - MAR) values, - # where P = sum_daily["profit_percent_after_slippage"] + # where P = sum_daily["profit_ratio_after_slippage"] down_stdev = math.sqrt((total_downside**2).sum() / len(total_downside)) if down_stdev != 0: diff --git a/freqtrade/optimize/optimize_reports.py b/freqtrade/optimize/optimize_reports.py index 96ddb91a0..8edfbaf8d 100644 --- a/freqtrade/optimize/optimize_reports.py +++ b/freqtrade/optimize/optimize_reports.py @@ -58,14 +58,14 @@ def _generate_result_line(result: DataFrame, max_open_trades: int, first_column: """ Generate one result dict, with "first_column" as key. """ - profit_sum = result['profit_percent'].sum() + profit_sum = result['profit_ratio'].sum() profit_total = profit_sum / max_open_trades return { 'key': first_column, 'trades': len(result), - 'profit_mean': result['profit_percent'].mean() if len(result) > 0 else 0.0, - 'profit_mean_pct': result['profit_percent'].mean() * 100.0 if len(result) > 0 else 0.0, + 'profit_mean': result['profit_ratio'].mean() if len(result) > 0 else 0.0, + 'profit_mean_pct': result['profit_ratio'].mean() * 100.0 if len(result) > 0 else 0.0, 'profit_sum': profit_sum, 'profit_sum_pct': round(profit_sum * 100.0, 2), 'profit_total_abs': result['profit_abs'].sum(), @@ -124,8 +124,8 @@ def generate_sell_reason_stats(max_open_trades: int, results: DataFrame) -> List for reason, count in results['sell_reason'].value_counts().iteritems(): result = results.loc[results['sell_reason'] == reason] - profit_mean = result['profit_percent'].mean() - profit_sum = result['profit_percent'].sum() + profit_mean = result['profit_ratio'].mean() + profit_sum = result['profit_ratio'].sum() profit_total = profit_sum / max_open_trades tabular_data.append( @@ -150,7 +150,7 @@ def generate_sell_reason_stats(max_open_trades: int, results: DataFrame) -> List def generate_strategy_metrics(all_results: Dict) -> List[Dict]: """ Generate summary per strategy - :param all_results: Dict of containing results for all strategies + :param all_results: Dict of containing results for all strategies :return: List of Dicts containing the metrics per Strategy """ @@ -199,15 +199,15 @@ def generate_daily_stats(results: DataFrame) -> Dict[str, Any]: 'winner_holding_avg': timedelta(), 'loser_holding_avg': timedelta(), } - daily_profit = results.resample('1d', on='close_date')['profit_percent'].sum() + daily_profit = results.resample('1d', on='close_date')['profit_ratio'].sum() worst = min(daily_profit) best = max(daily_profit) winning_days = sum(daily_profit > 0) draw_days = sum(daily_profit == 0) losing_days = sum(daily_profit < 0) - winning_trades = results.loc[results['profit_percent'] > 0] - losing_trades = results.loc[results['profit_percent'] < 0] + winning_trades = results.loc[results['profit_ratio'] > 0] + losing_trades = results.loc[results['profit_ratio'] < 0] return { 'backtest_best_day': best, @@ -243,7 +243,7 @@ def generate_backtest_stats(btdata: Dict[str, DataFrame], if not isinstance(results, DataFrame): continue config = content['config'] - max_open_trades = config['max_open_trades'] + max_open_trades = min(config['max_open_trades'], len(btdata.keys())) stake_currency = config['stake_currency'] pair_results = generate_pair_metrics(btdata, stake_currency=stake_currency, @@ -253,7 +253,7 @@ def generate_backtest_stats(btdata: Dict[str, DataFrame], results=results) left_open_results = generate_pair_metrics(btdata, stake_currency=stake_currency, max_open_trades=max_open_trades, - results=results.loc[results['open_at_end']], + results=results.loc[results['is_open']], skip_nan=True) daily_stats = generate_daily_stats(results) best_pair = max([pair for pair in pair_results if pair['key'] != 'TOTAL'], @@ -273,8 +273,8 @@ def generate_backtest_stats(btdata: Dict[str, DataFrame], 'sell_reason_summary': sell_reason_stats, 'left_open_trades': left_open_results, 'total_trades': len(results), - 'profit_mean': results['profit_percent'].mean() if len(results) > 0 else 0, - 'profit_total': results['profit_percent'].sum(), + 'profit_mean': results['profit_ratio'].mean() if len(results) > 0 else 0, + 'profit_total': results['profit_ratio'].sum() / max_open_trades, 'profit_total_abs': results['profit_abs'].sum(), 'backtest_start': min_date.datetime, 'backtest_start_ts': min_date.int_timestamp * 1000, @@ -290,8 +290,9 @@ def generate_backtest_stats(btdata: Dict[str, DataFrame], 'pairlist': list(btdata.keys()), 'stake_amount': config['stake_amount'], 'stake_currency': config['stake_currency'], - 'max_open_trades': (config['max_open_trades'] - if config['max_open_trades'] != float('inf') else -1), + 'max_open_trades': max_open_trades, + 'max_open_trades_setting': (config['max_open_trades'] + if config['max_open_trades'] != float('inf') else -1), 'timeframe': config['timeframe'], 'timerange': config.get('timerange', ''), 'enable_protections': config.get('enable_protections', False), @@ -314,7 +315,7 @@ def generate_backtest_stats(btdata: Dict[str, DataFrame], try: max_drawdown, drawdown_start, drawdown_end = calculate_max_drawdown( - results, value_col='profit_percent') + results, value_col='profit_ratio') strat_stats.update({ 'max_drawdown': max_drawdown, 'drawdown_start': drawdown_start, @@ -392,7 +393,7 @@ def text_table_strategy(strategy_results, stake_currency: str) -> str: Generate summary table per strategy :param stake_currency: stake-currency - used to correctly name headers :param max_open_trades: Maximum allowed open trades used for backtest - :param all_results: Dict of containing results for all strategies + :param all_results: Dict of containing results for all strategies :return: pretty printed table with tabulate as string """ floatfmt = _get_line_floatfmt() @@ -409,8 +410,8 @@ def text_table_strategy(strategy_results, stake_currency: str) -> str: def text_table_add_metrics(strat_results: Dict) -> str: if len(strat_results['trades']) > 0: - best_trade = max(strat_results['trades'], key=lambda x: x['profit_percent']) - worst_trade = min(strat_results['trades'], key=lambda x: x['profit_percent']) + best_trade = max(strat_results['trades'], key=lambda x: x['profit_ratio']) + worst_trade = min(strat_results['trades'], key=lambda x: x['profit_ratio']) metrics = [ ('Backtesting from', strat_results['backtest_start'].strftime(DATETIME_PRINT_FORMAT)), ('Backtesting to', strat_results['backtest_end'].strftime(DATETIME_PRINT_FORMAT)), @@ -424,9 +425,9 @@ def text_table_add_metrics(strat_results: Dict) -> str: f"{round(strat_results['best_pair']['profit_sum_pct'], 2)}%"), ('Worst Pair', f"{strat_results['worst_pair']['key']} " f"{round(strat_results['worst_pair']['profit_sum_pct'], 2)}%"), - ('Best trade', f"{best_trade['pair']} {round(best_trade['profit_percent'] * 100, 2)}%"), + ('Best trade', f"{best_trade['pair']} {round(best_trade['profit_ratio'] * 100, 2)}%"), ('Worst trade', f"{worst_trade['pair']} " - f"{round(worst_trade['profit_percent'] * 100, 2)}%"), + f"{round(worst_trade['profit_ratio'] * 100, 2)}%"), ('Best day', f"{round(strat_results['backtest_best_day'] * 100, 2)}%"), ('Worst day', f"{round(strat_results['backtest_worst_day'] * 100, 2)}%"), diff --git a/freqtrade/persistence/models.py b/freqtrade/persistence/models.py index e803b4383..375709423 100644 --- a/freqtrade/persistence/models.py +++ b/freqtrade/persistence/models.py @@ -302,6 +302,11 @@ class Trade(_DECL_BASE): 'close_profit_pct': round(self.close_profit * 100, 2) if self.close_profit else None, 'close_profit_abs': self.close_profit_abs, # Deprecated + 'trade_duration_s': (int((self.close_date - self.open_date).total_seconds()) + if self.close_date else None), + 'trade_duration': (int((self.close_date - self.open_date).total_seconds() // 60) + if self.close_date else None), + 'profit_ratio': self.close_profit, 'profit_pct': round(self.close_profit * 100, 2) if self.close_profit else None, 'profit_abs': self.close_profit_abs, diff --git a/freqtrade/plot/plotting.py b/freqtrade/plot/plotting.py index 996c5276c..f45ba9b25 100644 --- a/freqtrade/plot/plotting.py +++ b/freqtrade/plot/plotting.py @@ -175,7 +175,7 @@ def plot_trades(fig, trades: pd.DataFrame) -> make_subplots: # Trades can be empty if trades is not None and len(trades) > 0: # Create description for sell summarizing the trade - trades['desc'] = trades.apply(lambda row: f"{round(row['profit_percent'] * 100, 1)}%, " + trades['desc'] = trades.apply(lambda row: f"{round(row['profit_ratio'] * 100, 1)}%, " f"{row['sell_reason']}, " f"{row['trade_duration']} min", axis=1) @@ -195,9 +195,9 @@ def plot_trades(fig, trades: pd.DataFrame) -> make_subplots: ) trade_sells = go.Scatter( - x=trades.loc[trades['profit_percent'] > 0, "close_date"], - y=trades.loc[trades['profit_percent'] > 0, "close_rate"], - text=trades.loc[trades['profit_percent'] > 0, "desc"], + x=trades.loc[trades['profit_ratio'] > 0, "close_date"], + y=trades.loc[trades['profit_ratio'] > 0, "close_rate"], + text=trades.loc[trades['profit_ratio'] > 0, "desc"], mode='markers', name='Sell - Profit', marker=dict( @@ -208,9 +208,9 @@ def plot_trades(fig, trades: pd.DataFrame) -> make_subplots: ) ) trade_sells_loss = go.Scatter( - x=trades.loc[trades['profit_percent'] <= 0, "close_date"], - y=trades.loc[trades['profit_percent'] <= 0, "close_rate"], - text=trades.loc[trades['profit_percent'] <= 0, "desc"], + x=trades.loc[trades['profit_ratio'] <= 0, "close_date"], + y=trades.loc[trades['profit_ratio'] <= 0, "close_rate"], + text=trades.loc[trades['profit_ratio'] <= 0, "desc"], mode='markers', name='Sell - Loss', marker=dict( diff --git a/freqtrade/templates/sample_hyperopt_loss.py b/freqtrade/templates/sample_hyperopt_loss.py index 59e6d814a..a2b28f948 100644 --- a/freqtrade/templates/sample_hyperopt_loss.py +++ b/freqtrade/templates/sample_hyperopt_loss.py @@ -39,8 +39,8 @@ class SampleHyperOptLoss(IHyperOptLoss): """ Objective function, returns smaller number for better results """ - total_profit = results.profit_percent.sum() - trade_duration = results.trade_duration.mean() + total_profit = results['profit_ratio'].sum() + trade_duration = results['trade_duration'].mean() trade_loss = 1 - 0.25 * exp(-(trade_count - TARGET_TRADES) ** 2 / 10 ** 5.8) profit_loss = max(0, 1 - total_profit / EXPECTED_MAX_PROFIT) diff --git a/tests/data/test_btanalysis.py b/tests/data/test_btanalysis.py index cdd5c08d2..a26ada3ba 100644 --- a/tests/data/test_btanalysis.py +++ b/tests/data/test_btanalysis.py @@ -7,14 +7,13 @@ from pandas import DataFrame, DateOffset, Timestamp, to_datetime from freqtrade.configuration import TimeRange from freqtrade.constants import LAST_BT_RESULT_FN -from freqtrade.data.btanalysis import (BT_DATA_COLUMNS, analyze_trade_parallelism, - calculate_market_change, calculate_max_drawdown, - combine_dataframes_with_mean, create_cum_profit, - extract_trades_of_period, get_latest_backtest_filename, - get_latest_hyperopt_file, load_backtest_data, load_trades, - load_trades_from_db) +from freqtrade.data.btanalysis import (BT_DATA_COLUMNS, BT_DATA_COLUMNS_MID, BT_DATA_COLUMNS_OLD, + analyze_trade_parallelism, calculate_market_change, + calculate_max_drawdown, combine_dataframes_with_mean, + create_cum_profit, extract_trades_of_period, + get_latest_backtest_filename, get_latest_hyperopt_file, + load_backtest_data, load_trades, load_trades_from_db) from freqtrade.data.history import load_data, load_pair_history -from freqtrade.optimize.backtesting import BacktestResult from tests.conftest import create_mock_trades from tests.conftest_trades import MOCK_TRADE_COUNT @@ -55,7 +54,7 @@ def test_load_backtest_data_old_format(testdatadir): filename = testdatadir / "backtest-result_test.json" bt_data = load_backtest_data(filename) assert isinstance(bt_data, DataFrame) - assert list(bt_data.columns) == BT_DATA_COLUMNS + ["profit_abs"] + assert list(bt_data.columns) == BT_DATA_COLUMNS_OLD + ['profit_abs', 'profit_ratio'] assert len(bt_data) == 179 # Test loading from string (must yield same result) @@ -71,7 +70,7 @@ def test_load_backtest_data_new_format(testdatadir): filename = testdatadir / "backtest-result_new.json" bt_data = load_backtest_data(filename) assert isinstance(bt_data, DataFrame) - assert set(bt_data.columns) == set(list(BacktestResult._fields) + ["profit_abs"]) + assert set(bt_data.columns) == set(BT_DATA_COLUMNS_MID) assert len(bt_data) == 179 # Test loading from string (must yield same result) @@ -95,7 +94,7 @@ def test_load_backtest_data_multi(testdatadir): for strategy in ('DefaultStrategy', 'TestStrategy'): bt_data = load_backtest_data(filename, strategy=strategy) assert isinstance(bt_data, DataFrame) - assert set(bt_data.columns) == set(list(BacktestResult._fields) + ["profit_abs"]) + assert set(bt_data.columns) == set(BT_DATA_COLUMNS_MID) assert len(bt_data) == 179 # Test loading from string (must yield same result) @@ -122,7 +121,7 @@ def test_load_trades_from_db(default_conf, fee, mocker): assert isinstance(trades, DataFrame) assert "pair" in trades.columns assert "open_date" in trades.columns - assert "profit_percent" in trades.columns + assert "profit_ratio" in trades.columns for col in BT_DATA_COLUMNS: if col not in ['index', 'open_at_end']: diff --git a/tests/optimize/conftest.py b/tests/optimize/conftest.py index f06b0ecd3..df6f22e01 100644 --- a/tests/optimize/conftest.py +++ b/tests/optimize/conftest.py @@ -37,7 +37,7 @@ def hyperopt_results(): return pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC', 'ETH/BTC'], - 'profit_percent': [-0.1, 0.2, 0.3], + 'profit_ratio': [-0.1, 0.2, 0.3], 'profit_abs': [-0.2, 0.4, 0.6], 'trade_duration': [10, 30, 10], 'sell_reason': [SellType.STOP_LOSS, SellType.ROI, SellType.ROI], diff --git a/tests/optimize/test_backtest_detail.py b/tests/optimize/test_backtest_detail.py index 720ed8c13..daf7c2053 100644 --- a/tests/optimize/test_backtest_detail.py +++ b/tests/optimize/test_backtest_detail.py @@ -510,7 +510,7 @@ def test_backtest_results(default_conf, fee, mocker, caplog, data) -> None: ) assert len(results) == len(data.trades) - assert round(results["profit_percent"].sum(), 3) == round(data.profit_perc, 3) + assert round(results["profit_ratio"].sum(), 3) == round(data.profit_perc, 3) for c, trade in enumerate(data.trades): res = results.iloc[c] diff --git a/tests/optimize/test_backtesting.py b/tests/optimize/test_backtesting.py index e55e166d9..5f811e2e5 100644 --- a/tests/optimize/test_backtesting.py +++ b/tests/optimize/test_backtesting.py @@ -445,7 +445,7 @@ def test_backtesting_pairlist_list(default_conf, mocker, caplog, testdatadir, ti Backtesting(default_conf) -def test_backtest(default_conf, fee, mocker, testdatadir) -> None: +def test_backtest_one(default_conf, fee, mocker, testdatadir) -> None: default_conf['ask_strategy']['use_sell_signal'] = False mocker.patch('freqtrade.exchange.Exchange.get_fee', fee) patch_exchange(mocker) @@ -469,21 +469,28 @@ def test_backtest(default_conf, fee, mocker, testdatadir) -> None: expected = pd.DataFrame( {'pair': [pair, pair], - 'profit_percent': [0.0, 0.0], - 'profit_abs': [0.0, 0.0], + 'stake_amount': [0.001, 0.001], + 'amount': [0.00957442, 0.0097064], 'open_date': pd.to_datetime([Arrow(2018, 1, 29, 18, 40, 0).datetime, Arrow(2018, 1, 30, 3, 30, 0).datetime], utc=True ), - 'open_rate': [0.104445, 0.10302485], - 'open_fee': [0.0025, 0.0025], 'close_date': pd.to_datetime([Arrow(2018, 1, 29, 22, 35, 0).datetime, Arrow(2018, 1, 30, 4, 10, 0).datetime], utc=True), + 'open_rate': [0.104445, 0.10302485], 'close_rate': [0.104969, 0.103541], - 'close_fee': [0.0025, 0.0025], - 'amount': [0.00957442, 0.0097064], + 'fee_open': [0.0025, 0.0025], + 'fee_close': [0.0025, 0.0025], 'trade_duration': [235, 40], - 'open_at_end': [False, False], - 'sell_reason': [SellType.ROI, SellType.ROI] + 'profit_ratio': [0.0, 0.0], + 'profit_abs': [0.0, 0.0], + 'sell_reason': [SellType.ROI, SellType.ROI], + 'initial_stop_loss_abs': [0.0940005, 0.09272236], + 'initial_stop_loss_ratio': [-0.1, -0.1], + 'stop_loss_abs': [0.0940005, 0.09272236], + 'stop_loss_ratio': [-0.1, -0.1], + 'min_rate': [0.1038, 0.10302485], + 'max_rate': [0.10501, 0.1038888], + 'is_open': [False, False], }) pd.testing.assert_frame_equal(results, expected) data_pair = processed[pair] @@ -629,7 +636,7 @@ def test_backtest_alternate_buy_sell(default_conf, fee, mocker, testdatadir): # 100 buys signals assert len(results) == 100 # One trade was force-closed at the end - assert len(results.loc[results.open_at_end]) == 0 + assert len(results.loc[results['is_open']]) == 0 @pytest.mark.parametrize("pair", ['ADA/BTC', 'LTC/BTC']) @@ -737,7 +744,7 @@ def test_backtest_start_timerange(default_conf, mocker, caplog, testdatadir): def test_backtest_start_multi_strat(default_conf, mocker, caplog, testdatadir): patch_exchange(mocker) - backtestmock = MagicMock(return_value=pd.DataFrame(columns=BT_DATA_COLUMNS + ['profit_abs'])) + backtestmock = MagicMock(return_value=pd.DataFrame(columns=BT_DATA_COLUMNS)) mocker.patch('freqtrade.plugins.pairlistmanager.PairListManager.whitelist', PropertyMock(return_value=['UNITTEST/BTC'])) mocker.patch('freqtrade.optimize.backtesting.Backtesting.backtest', backtestmock) @@ -803,7 +810,7 @@ def test_backtest_start_multi_strat_nomock(default_conf, mocker, caplog, testdat patch_exchange(mocker) backtestmock = MagicMock(side_effect=[ pd.DataFrame({'pair': ['XRP/BTC', 'LTC/BTC'], - 'profit_percent': [0.0, 0.0], + 'profit_ratio': [0.0, 0.0], 'profit_abs': [0.0, 0.0], 'open_date': pd.to_datetime(['2018-01-29 18:40:00', '2018-01-30 03:30:00', ], utc=True @@ -811,13 +818,13 @@ def test_backtest_start_multi_strat_nomock(default_conf, mocker, caplog, testdat 'close_date': pd.to_datetime(['2018-01-29 20:45:00', '2018-01-30 05:35:00', ], utc=True), 'trade_duration': [235, 40], - 'open_at_end': [False, False], + 'is_open': [False, False], 'open_rate': [0.104445, 0.10302485], 'close_rate': [0.104969, 0.103541], 'sell_reason': [SellType.ROI, SellType.ROI] }), pd.DataFrame({'pair': ['XRP/BTC', 'LTC/BTC', 'ETH/BTC'], - 'profit_percent': [0.03, 0.01, 0.1], + 'profit_ratio': [0.03, 0.01, 0.1], 'profit_abs': [0.01, 0.02, 0.2], 'open_date': pd.to_datetime(['2018-01-29 18:40:00', '2018-01-30 03:30:00', @@ -827,7 +834,7 @@ def test_backtest_start_multi_strat_nomock(default_conf, mocker, caplog, testdat '2018-01-30 05:35:00', '2018-01-30 08:30:00'], utc=True), 'trade_duration': [47, 40, 20], - 'open_at_end': [False, False, False], + 'is_open': [False, False, False], 'open_rate': [0.104445, 0.10302485, 0.122541], 'close_rate': [0.104969, 0.103541, 0.123541], 'sell_reason': [SellType.ROI, SellType.ROI, SellType.STOP_LOSS] diff --git a/tests/optimize/test_hyperopt.py b/tests/optimize/test_hyperopt.py index 82be894d3..89c7305b6 100644 --- a/tests/optimize/test_hyperopt.py +++ b/tests/optimize/test_hyperopt.py @@ -427,7 +427,7 @@ def test_format_results(hyperopt): ('LTC/BTC', 1, 1, 123), ('XPR/BTC', -1, -2, -246) ] - labels = ['currency', 'profit_percent', 'profit_abs', 'trade_duration'] + labels = ['currency', 'profit_ratio', 'profit_abs', 'trade_duration'] df = pd.DataFrame.from_records(trades, columns=labels) results_metrics = hyperopt._calculate_results_metrics(df) results_explanation = hyperopt._format_results_explanation_string(results_metrics) @@ -567,7 +567,7 @@ def test_generate_optimizer(mocker, hyperopt_conf) -> None: trades = [ ('TRX/BTC', 0.023117, 0.000233, 100) ] - labels = ['currency', 'profit_percent', 'profit_abs', 'trade_duration'] + labels = ['currency', 'profit_ratio', 'profit_abs', 'trade_duration'] backtest_result = pd.DataFrame.from_records(trades, columns=labels) mocker.patch( diff --git a/tests/optimize/test_hyperoptloss.py b/tests/optimize/test_hyperoptloss.py index f7910e6d6..73feeb007 100644 --- a/tests/optimize/test_hyperoptloss.py +++ b/tests/optimize/test_hyperoptloss.py @@ -60,9 +60,9 @@ def test_loss_calculation_prefer_shorter_trades(hyperopt_conf, hyperopt_results) def test_loss_calculation_has_limited_profit(hyperopt_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 hl = HyperOptLossResolver.load_hyperoptloss(hyperopt_conf) correct = hl.hyperopt_loss_function(hyperopt_results, 600, @@ -77,9 +77,9 @@ def test_loss_calculation_has_limited_profit(hyperopt_conf, hyperopt_results) -> def test_sharpe_loss_prefers_higher_profits(default_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 default_conf.update({'hyperopt_loss': 'SharpeHyperOptLoss'}) hl = HyperOptLossResolver.load_hyperoptloss(default_conf) @@ -95,9 +95,9 @@ def test_sharpe_loss_prefers_higher_profits(default_conf, hyperopt_results) -> N def test_sharpe_loss_daily_prefers_higher_profits(default_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 default_conf.update({'hyperopt_loss': 'SharpeHyperOptLossDaily'}) hl = HyperOptLossResolver.load_hyperoptloss(default_conf) @@ -113,9 +113,9 @@ def test_sharpe_loss_daily_prefers_higher_profits(default_conf, hyperopt_results def test_sortino_loss_prefers_higher_profits(default_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 default_conf.update({'hyperopt_loss': 'SortinoHyperOptLoss'}) hl = HyperOptLossResolver.load_hyperoptloss(default_conf) @@ -131,9 +131,9 @@ def test_sortino_loss_prefers_higher_profits(default_conf, hyperopt_results) -> def test_sortino_loss_daily_prefers_higher_profits(default_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 default_conf.update({'hyperopt_loss': 'SortinoHyperOptLossDaily'}) hl = HyperOptLossResolver.load_hyperoptloss(default_conf) @@ -149,9 +149,9 @@ def test_sortino_loss_daily_prefers_higher_profits(default_conf, hyperopt_result def test_onlyprofit_loss_prefers_higher_profits(default_conf, hyperopt_results) -> None: results_over = hyperopt_results.copy() - results_over['profit_percent'] = hyperopt_results['profit_percent'] * 2 + results_over['profit_ratio'] = hyperopt_results['profit_ratio'] * 2 results_under = hyperopt_results.copy() - results_under['profit_percent'] = hyperopt_results['profit_percent'] / 2 + results_under['profit_ratio'] = hyperopt_results['profit_ratio'] / 2 default_conf.update({'hyperopt_loss': 'OnlyProfitHyperOptLoss'}) hl = HyperOptLossResolver.load_hyperoptloss(default_conf) diff --git a/tests/optimize/test_optimize_reports.py b/tests/optimize/test_optimize_reports.py index f184cb125..51a78c7cc 100644 --- a/tests/optimize/test_optimize_reports.py +++ b/tests/optimize/test_optimize_reports.py @@ -27,7 +27,7 @@ def test_text_table_bt_results(): results = pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC'], - 'profit_percent': [0.1, 0.2], + 'profit_ratio': [0.1, 0.2], 'profit_abs': [0.2, 0.4], 'trade_duration': [10, 30], 'wins': [2, 0], @@ -59,7 +59,7 @@ def test_generate_backtest_stats(default_conf, testdatadir): results = {'DefStrat': { 'results': pd.DataFrame({"pair": ["UNITTEST/BTC", "UNITTEST/BTC", "UNITTEST/BTC", "UNITTEST/BTC"], - "profit_percent": [0.003312, 0.010801, 0.013803, 0.002780], + "profit_ratio": [0.003312, 0.010801, 0.013803, 0.002780], "profit_abs": [0.000003, 0.000011, 0.000014, 0.000003], "open_date": [Arrow(2017, 11, 14, 19, 32, 00).datetime, Arrow(2017, 11, 14, 21, 36, 00).datetime, @@ -72,7 +72,7 @@ def test_generate_backtest_stats(default_conf, testdatadir): "open_rate": [0.002543, 0.003003, 0.003089, 0.003214], "close_rate": [0.002546, 0.003014, 0.003103, 0.003217], "trade_duration": [123, 34, 31, 14], - "open_at_end": [False, False, False, True], + "is_open": [False, False, False, True], "sell_reason": [SellType.ROI, SellType.STOP_LOSS, SellType.ROI, SellType.FORCE_SELL] }), @@ -103,7 +103,7 @@ def test_generate_backtest_stats(default_conf, testdatadir): results = {'DefStrat': { 'results': pd.DataFrame( {"pair": ["UNITTEST/BTC", "UNITTEST/BTC", "UNITTEST/BTC", "UNITTEST/BTC"], - "profit_percent": [0.003312, 0.010801, -0.013803, 0.002780], + "profit_ratio": [0.003312, 0.010801, -0.013803, 0.002780], "profit_abs": [0.000003, 0.000011, -0.000014, 0.000003], "open_date": [Arrow(2017, 11, 14, 19, 32, 00).datetime, Arrow(2017, 11, 14, 21, 36, 00).datetime, @@ -179,7 +179,7 @@ def test_generate_pair_metrics(): results = pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC'], - 'profit_percent': [0.1, 0.2], + 'profit_ratio': [0.1, 0.2], 'profit_abs': [0.2, 0.4], 'trade_duration': [10, 30], 'wins': [2, 0], @@ -227,7 +227,7 @@ def test_text_table_sell_reason(): results = pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC', 'ETH/BTC'], - 'profit_percent': [0.1, 0.2, -0.1], + 'profit_ratio': [0.1, 0.2, -0.1], 'profit_abs': [0.2, 0.4, -0.2], 'trade_duration': [10, 30, 10], 'wins': [2, 0, 0], @@ -259,7 +259,7 @@ def test_generate_sell_reason_stats(): results = pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC', 'ETH/BTC'], - 'profit_percent': [0.1, 0.2, -0.1], + 'profit_ratio': [0.1, 0.2, -0.1], 'profit_abs': [0.2, 0.4, -0.2], 'trade_duration': [10, 30, 10], 'wins': [2, 0, 0], @@ -295,7 +295,7 @@ def test_text_table_strategy(default_conf): results['TestStrategy1'] = {'results': pd.DataFrame( { 'pair': ['ETH/BTC', 'ETH/BTC', 'ETH/BTC'], - 'profit_percent': [0.1, 0.2, 0.3], + 'profit_ratio': [0.1, 0.2, 0.3], 'profit_abs': [0.2, 0.4, 0.5], 'trade_duration': [10, 30, 10], 'wins': [2, 0, 0], @@ -307,7 +307,7 @@ def test_text_table_strategy(default_conf): results['TestStrategy2'] = {'results': pd.DataFrame( { 'pair': ['LTC/BTC', 'LTC/BTC', 'LTC/BTC'], - 'profit_percent': [0.4, 0.2, 0.3], + 'profit_ratio': [0.4, 0.2, 0.3], 'profit_abs': [0.4, 0.4, 0.5], 'trade_duration': [15, 30, 15], 'wins': [4, 1, 0], diff --git a/tests/rpc/test_rpc.py b/tests/rpc/test_rpc.py index 8ec356d54..60d9950aa 100644 --- a/tests/rpc/test_rpc.py +++ b/tests/rpc/test_rpc.py @@ -80,6 +80,8 @@ def test_rpc_trade_status(default_conf, ticker, fee, mocker) -> None: 'amount': 91.07468123, 'amount_requested': 91.07468123, 'stake_amount': 0.001, + 'trade_duration': None, + 'trade_duration_s': None, 'close_profit': None, 'close_profit_pct': None, 'close_profit_abs': None, @@ -144,6 +146,8 @@ def test_rpc_trade_status(default_conf, ticker, fee, mocker) -> None: 'current_rate': ANY, 'amount': 91.07468123, 'amount_requested': 91.07468123, + 'trade_duration': ANY, + 'trade_duration_s': ANY, 'stake_amount': 0.001, 'close_profit': None, 'close_profit_pct': None, diff --git a/tests/test_persistence.py b/tests/test_persistence.py index 7487b2ef5..9921f541b 100644 --- a/tests/test_persistence.py +++ b/tests/test_persistence.py @@ -815,6 +815,8 @@ def test_to_json(default_conf, fee): 'amount': 123.0, 'amount_requested': 123.0, 'stake_amount': 0.001, + 'trade_duration': None, + 'trade_duration_s': None, 'close_profit': None, 'close_profit_pct': None, 'close_profit_abs': None, @@ -869,6 +871,8 @@ def test_to_json(default_conf, fee): 'amount': 100.0, 'amount_requested': 101.0, 'stake_amount': 0.001, + 'trade_duration': 60, + 'trade_duration_s': 3600, 'stop_loss_abs': None, 'stop_loss_pct': None, 'stop_loss_ratio': None, diff --git a/tests/testdata/backtest-result_multistrat.json b/tests/testdata/backtest-result_multistrat.json index 0e5386ef3..6999050b6 100644 --- a/tests/testdata/backtest-result_multistrat.json +++ b/tests/testdata/backtest-result_multistrat.json @@ -1 +1 @@ -{"strategy": {"DefaultStrategy": {"trades": [{"pair": "TRX/BTC", "profit_percent": 0.03990025, "open_date": "2018-01-10 07:15:00+00:00", "close_date": "2018-01-10 07:20:00+00:00", "trade_duration": 5, "open_rate": 9.64e-05, "close_rate": 0.00010074887218045112, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1037.344398340249, "profit_abs": 0.00399999999999999}, {"pair": "ADA/BTC", "profit_percent": 0.03990025, "open_date": "2018-01-10 07:15:00+00:00", "close_date": "2018-01-10 07:30:00+00:00", "trade_duration": 15, "open_rate": 4.756e-05, "close_rate": 4.9705563909774425e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2102.6072329688814, "profit_abs": 0.00399999999999999}, {"pair": "XLM/BTC", "profit_percent": 0.03990025, "open_date": "2018-01-10 07:25:00+00:00", "close_date": "2018-01-10 07:35:00+00:00", "trade_duration": 10, "open_rate": 3.339e-05, "close_rate": 3.489631578947368e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2994.908655286014, "profit_abs": 0.0040000000000000036}, {"pair": "TRX/BTC", "profit_percent": 0.03990025, "open_date": "2018-01-10 07:25:00+00:00", "close_date": "2018-01-10 07:40:00+00:00", "trade_duration": 15, "open_rate": 9.696e-05, "close_rate": 0.00010133413533834584, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1031.3531353135315, "profit_abs": 0.00399999999999999}, {"pair": "ETH/BTC", "profit_percent": -0.0, "open_date": "2018-01-10 07:35:00+00:00", "close_date": "2018-01-10 08:35:00+00:00", "trade_duration": 60, "open_rate": 0.0943, "close_rate": 0.09477268170426063, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.0604453870625663, "profit_abs": 0.0}, {"pair": "XMR/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-10 07:40:00+00:00", "close_date": "2018-01-10 08:10:00+00:00", "trade_duration": 30, "open_rate": 0.02719607, "close_rate": 0.02760503345864661, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3.677001860930642, "profit_abs": 0.0010000000000000009}, {"pair": "ZEC/BTC", "profit_percent": 0.0, "open_date": "2018-01-10 08:15:00+00:00", "close_date": "2018-01-10 09:55:00+00:00", "trade_duration": 100, "open_rate": 0.04634952, "close_rate": 0.046581848421052625, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2.1575196463739, "profit_abs": 0.0}, {"pair": "NXT/BTC", "profit_percent": -0.0, "open_date": "2018-01-10 14:45:00+00:00", "close_date": "2018-01-10 15:50:00+00:00", "trade_duration": 65, "open_rate": 3.066e-05, "close_rate": 3.081368421052631e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3261.5786040443577, "profit_abs": -1.3877787807814457e-17}, {"pair": "LTC/BTC", "profit_percent": 0.0, "open_date": "2018-01-10 16:35:00+00:00", "close_date": "2018-01-10 17:15:00+00:00", "trade_duration": 40, "open_rate": 0.0168999, "close_rate": 0.016984611278195488, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 5.917194776300452, "profit_abs": 1.3877787807814457e-17}, {"pair": "ETH/BTC", "profit_percent": -0.0, "open_date": "2018-01-10 16:40:00+00:00", "close_date": "2018-01-10 17:20:00+00:00", "trade_duration": 40, "open_rate": 0.09132568, "close_rate": 0.0917834528320802, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.0949822656672252, "profit_abs": 0.0}, {"pair": "ETH/BTC", "profit_percent": -0.0, "open_date": "2018-01-10 18:50:00+00:00", "close_date": "2018-01-10 19:45:00+00:00", "trade_duration": 55, "open_rate": 0.08898003, "close_rate": 0.08942604518796991, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.1238476768326557, "profit_abs": -1.3877787807814457e-17}, {"pair": "ETH/BTC", "profit_percent": 0.0, "open_date": "2018-01-10 22:15:00+00:00", "close_date": "2018-01-10 23:00:00+00:00", "trade_duration": 45, "open_rate": 0.08560008, "close_rate": 0.08602915308270676, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.1682232072680307, "profit_abs": 0.0}, {"pair": "ETC/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-10 22:50:00+00:00", "close_date": "2018-01-10 23:20:00+00:00", "trade_duration": 30, "open_rate": 0.00249083, "close_rate": 0.0025282860902255634, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 40.147260150231055, "profit_abs": 0.000999999999999987}, {"pair": "NXT/BTC", "profit_percent": -0.0, "open_date": "2018-01-10 23:15:00+00:00", "close_date": "2018-01-11 00:15:00+00:00", "trade_duration": 60, "open_rate": 3.022e-05, "close_rate": 3.037147869674185e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3309.0668431502318, "profit_abs": -1.3877787807814457e-17}, {"pair": "ETC/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-10 23:40:00+00:00", "close_date": "2018-01-11 00:05:00+00:00", "trade_duration": 25, "open_rate": 0.002437, "close_rate": 0.0024980776942355883, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 41.03405826836274, "profit_abs": 0.001999999999999974}, {"pair": "ZEC/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-11 00:00:00+00:00", "close_date": "2018-01-11 00:35:00+00:00", "trade_duration": 35, "open_rate": 0.04771803, "close_rate": 0.04843559436090225, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2.0956439316543456, "profit_abs": 0.0010000000000000009}, {"pair": "XLM/BTC", "profit_percent": -0.10448878, "open_date": "2018-01-11 03:40:00+00:00", "close_date": "2018-01-11 04:25:00+00:00", "trade_duration": 45, "open_rate": 3.651e-05, "close_rate": 3.2859000000000005e-05, "open_at_end": false, "sell_reason": "stop_loss", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2738.9756231169545, "profit_abs": -0.01047499999999997}, {"pair": "ETH/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-11 03:55:00+00:00", "close_date": "2018-01-11 04:25:00+00:00", "trade_duration": 30, "open_rate": 0.08824105, "close_rate": 0.08956798308270676, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.1332594070446804, "profit_abs": 0.0010000000000000009}, {"pair": "ETC/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 04:00:00+00:00", "close_date": "2018-01-11 04:50:00+00:00", "trade_duration": 50, "open_rate": 0.00243, "close_rate": 0.002442180451127819, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 41.1522633744856, "profit_abs": -1.3877787807814457e-17}, {"pair": "ZEC/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-11 04:30:00+00:00", "close_date": "2018-01-11 04:55:00+00:00", "trade_duration": 25, "open_rate": 0.04545064, "close_rate": 0.046589753784461146, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2.200189040242338, "profit_abs": 0.001999999999999988}, {"pair": "XLM/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-11 04:30:00+00:00", "close_date": "2018-01-11 04:50:00+00:00", "trade_duration": 20, "open_rate": 3.372e-05, "close_rate": 3.456511278195488e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2965.599051008304, "profit_abs": 0.001999999999999988}, {"pair": "XMR/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-11 04:55:00+00:00", "close_date": "2018-01-11 05:15:00+00:00", "trade_duration": 20, "open_rate": 0.02644, "close_rate": 0.02710265664160401, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3.7821482602118004, "profit_abs": 0.001999999999999988}, {"pair": "ETH/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 11:20:00+00:00", "close_date": "2018-01-11 12:00:00+00:00", "trade_duration": 40, "open_rate": 0.08812, "close_rate": 0.08856170426065162, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.1348161597821154, "profit_abs": 0.0}, {"pair": "XMR/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 11:35:00+00:00", "close_date": "2018-01-11 12:15:00+00:00", "trade_duration": 40, "open_rate": 0.02683577, "close_rate": 0.026970285137844607, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3.7263696923919087, "profit_abs": 0.0}, {"pair": "ADA/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-11 14:00:00+00:00", "close_date": "2018-01-11 14:25:00+00:00", "trade_duration": 25, "open_rate": 4.919e-05, "close_rate": 5.04228320802005e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2032.9335230737956, "profit_abs": 0.0020000000000000018}, {"pair": "ETH/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 19:25:00+00:00", "close_date": "2018-01-11 20:35:00+00:00", "trade_duration": 70, "open_rate": 0.08784896, "close_rate": 0.08828930566416039, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1.1383174029607181, "profit_abs": -1.3877787807814457e-17}, {"pair": "ADA/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 22:35:00+00:00", "close_date": "2018-01-11 23:30:00+00:00", "trade_duration": 55, "open_rate": 5.105e-05, "close_rate": 5.130588972431077e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 1958.8638589618022, "profit_abs": -1.3877787807814457e-17}, {"pair": "XLM/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-11 22:55:00+00:00", "close_date": "2018-01-11 23:25:00+00:00", "trade_duration": 30, "open_rate": 3.96e-05, "close_rate": 4.019548872180451e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2525.252525252525, "profit_abs": 0.0010000000000000148}, {"pair": "NXT/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 22:55:00+00:00", "close_date": "2018-01-11 23:35:00+00:00", "trade_duration": 40, "open_rate": 2.885e-05, "close_rate": 2.899461152882205e-05, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3466.204506065858, "profit_abs": -1.3877787807814457e-17}, {"pair": "XMR/BTC", "profit_percent": 0.00997506, "open_date": "2018-01-11 23:30:00+00:00", "close_date": "2018-01-12 00:05:00+00:00", "trade_duration": 35, "open_rate": 0.02645, "close_rate": 0.026847744360902256, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 3.780718336483932, "profit_abs": 0.0010000000000000148}, {"pair": "ZEC/BTC", "profit_percent": -0.0, "open_date": "2018-01-11 23:55:00+00:00", "close_date": "2018-01-12 01:15:00+00:00", "trade_duration": 80, "open_rate": 0.048, "close_rate": 0.04824060150375939, "open_at_end": false, "sell_reason": "roi", "open_fee": 0.0025, "close_fee": 0.0025, "amount": 2.0833333333333335, "profit_abs": -1.3877787807814457e-17}, {"pair": "XLM/BTC", "profit_percent": 0.01995012, "open_date": "2018-01-12 21:15:00+00:00", "close_date": "2018-01-12 21:40:00+00:00", "trade_duration": 25, "open_rate": 4.692e-05, "close_rate": 4.809593984962405e-05, "open_at_end": 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