stable/docs/sql_cheatsheet.md
2020-06-15 06:35:55 +02:00

3.2 KiB

SQL Helper

This page contains some help if you want to edit your sqlite db.

Install sqlite3

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

sudo apt-get install sqlite3

Open the DB

sqlite3
.open <filepath>

Table structure

List tables

.tables

Display table structure

.schema <table_name>

Trade table structure

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,
    timeframe INTEGER,
    PRIMARY KEY (id),
    CHECK (is_open IN (0, 1))
);
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);

Get all trades in the table

SELECT * FROM trades;

Fix trade still open after a manual sell on the exchange

!!! Warning Manually selling a pair on the exchange will not be detected by the bot and it will try to sell anyway. Whenever possible, forcesell should be used to accomplish the same thing.
It is strongly advised to backup your database file before making any manual changes.

!!! Note This should not be necessary after /forcesell, as forcesell orders are closed automatically by the bot on the next iteration.

UPDATE trades
SET is_open=0,
  close_date=<close_date>,
  close_rate=<close_rate>,
  close_profit=close_rate/open_rate-1,
  close_profit_abs = (amount * <close_rate> * (1 - fee_close) - (amount * open_rate * 1 - fee_open)),
  sell_reason=<sell_reason>
WHERE id=<trade_ID_to_update>;

Example

UPDATE trades
SET is_open=0,
  close_date='2017-12-20 03:08:45.103418',
  close_rate=0.19638016,
  close_profit=0.0496,
  close_profit_abs = (amount * 0.19638016 * (1 - fee_close) - (amount * open_rate * 1 - fee_open))
  sell_reason='force_sell'  
WHERE id=31;

Insert manually a new trade

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>')
Example:
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')