refactor: Update open trades queries to handle empty exit prices and null exit dates
This commit is contained in:
parent
4bd9bd8c42
commit
4196a61b99
@ -485,7 +485,8 @@ def get_open_trades_summary() -> dict:
|
|||||||
count() as num_orders,
|
count() as num_orders,
|
||||||
groupArray(position_id) as position_ids
|
groupArray(position_id) as position_ids
|
||||||
FROM stock_db.trades
|
FROM stock_db.trades
|
||||||
WHERE exit_price IS NULL
|
WHERE (exit_price IS NULL OR exit_price = '')
|
||||||
|
AND (exit_date IS NULL)
|
||||||
GROUP BY ticker
|
GROUP BY ticker
|
||||||
HAVING total_shares > 0
|
HAVING total_shares > 0
|
||||||
ORDER BY ticker ASC
|
ORDER BY ticker ASC
|
||||||
@ -507,7 +508,13 @@ def get_open_trades_summary() -> dict:
|
|||||||
def get_open_trades():
|
def get_open_trades():
|
||||||
print("\n=== Fetching Open Trades ===") # Debug
|
print("\n=== Fetching Open Trades ===") # Debug
|
||||||
with create_client() as client:
|
with create_client() as client:
|
||||||
query = "SELECT * FROM stock_db.trades WHERE exit_price IS NULL ORDER BY entry_date DESC"
|
query = """
|
||||||
|
SELECT *
|
||||||
|
FROM stock_db.trades
|
||||||
|
WHERE (exit_price IS NULL OR exit_price = '')
|
||||||
|
AND (exit_date IS NULL)
|
||||||
|
ORDER BY entry_date DESC
|
||||||
|
"""
|
||||||
print(f"Executing query: {query}") # Debug
|
print(f"Executing query: {query}") # Debug
|
||||||
try:
|
try:
|
||||||
result = client.query(query).result_rows
|
result = client.query(query).result_rows
|
||||||
|
|||||||
Loading…
Reference in New Issue
Block a user