Files
AI-Trader/agent_tools
Bill 7d9d093d6c feat: migrate trade tools to write to actions table (new schema)
This commit implements Task 1 from the schema migration plan:
- Trade tools (buy/sell) now write to actions table instead of old positions table
- Added trading_day_id parameter to buy/sell functions
- Updated ContextInjector to inject trading_day_id
- Updated RuntimeConfigManager to include TRADING_DAY_ID in config
- Removed P&L calculation from trade functions (now done at trading_days level)
- Added tests verifying correct behavior with new schema

Changes:
- agent_tools/tool_trade.py: Modified _buy_impl and _sell_impl to write to actions table
- agent/context_injector.py: Added trading_day_id parameter and injection logic
- api/model_day_executor.py: Updated to read trading_day_id from runtime config
- api/runtime_manager.py: Added trading_day_id to config initialization
- tests/unit/test_trade_tools_new_schema.py: New tests for new schema compliance

All tests passing.
2025-11-04 09:18:35 -05:00
..
2025-10-30 14:40:42 +08:00
2025-10-24 00:35:21 +08:00
2025-10-24 00:35:21 +08:00