* Add security remapping support to holdings
- Introduced `provider_security` tracking for holdings with schema updates.
- Implemented security remap/reset workflows in `Holding` model and UI.
- Updated routes, controllers, and tests to support new functionality.
- Enhanced client-side interaction with Stimulus controller for remapping.
# Conflicts:
# app/components/UI/account/activity_feed.html.erb
# db/schema.rb
* Refactor "New transaction" to "New activity" across UI and tests
- Updated localized strings, button labels, and ARIA attributes.
- Improved error handling in holdings' current price display.
- Scoped fallback queries in `provider_import_adapter` to prevent overwrites.
- Added safeguard for offline securities in price fetching logic.
* Update security remapping to merge holdings on collision by deleting duplicates
- Removed error handling for collisions in `remap_security!`.
- Added logic to merge holdings by deleting duplicates on conflicting dates.
- Modified associated test to validate merging behavior.
* Update security remapping to merge holdings on collision by combining qty and amount
- Modified `remap_security!` to merge holdings by summing `qty` and `amount` on conflicting dates.
- Adjusted logic to calculate `price` for merged holdings.
- Updated test to validate new merge behavior.
* Improve DOM handling in Turbo redirect action & enhance holdings merge logic
- Updated Turbo's custom `redirect` action to use the "replace" option for cleaner DOM updates without clearing the cache.
- Enhanced holdings merge logic to calculate weighted average cost basis during security remapping, ensuring more accurate cost_basis updates.
* Track provider_security_id during security updates to support reset workflows
* Fix provider tracking: guard nil ticker lookups and preserve merge attrs
- Guard fallback 1b lookup when security.ticker is blank to avoid matching NULL tickers
- Preserve external_id, provider_security_id, account_provider_id during collision merge
* Fix schema.rb version after merge (includes tax_treatment migration)
* fix: Rename migration to run after schema version
The migration 20260117000001 was skipped in CI because it had a timestamp
earlier than the schema version (2026_01_17_200000). CI loads schema.rb
directly and only runs migrations with versions after the schema version.
Renamed to 20260119000001 so it runs correctly.
* Update schema: remove Coinbase tables, add new fields and indexes
* Update schema: add back `tax_treatment` field with default value "taxable"
* Improve Turbo redirect action: use "replace" to avoid form submission in history
* Lock merged holdings to prevent provider overwrites and fix activity feed template indentation
* Refactor holdings transfer logic: enforce currency checks during collisions and enhance merge handling
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Introduce SnapTrade integration with models, migrations, views, and activity processing logic.
* Refactor SnapTrade activities processing: improve activity fetching flow, handle pending states, and update UI elements for enhanced user feedback.
* Update Brakeman ignore file to include intentional redirect for SnapTrade OAuth portal.
* Refactor SnapTrade models, views, and processing logic: add currency extraction helper, improve pending state handling, optimize migration checks, and enhance user feedback in UI.
* Remove encryption for SnapTrade `snaptrade_user_id`, as it is an identifier, not a secret.
* Introduce `SnaptradeConnectionCleanupJob` to asynchronously handle SnapTrade connection cleanup and improve i18n for SnapTrade item status messages.
* Update SnapTrade encryption: make `snaptrade_user_secret` non-deterministic to enhance security.
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Add cost basis tracking and management to holdings
- Added migration to introduce `cost_basis_source` and `cost_basis_locked` fields to `holdings`.
- Implemented backfill for existing holdings to set `cost_basis_source` based on heuristics.
- Introduced `Holding::CostBasisReconciler` to manage cost basis resolution logic.
- Added user interface components for editing and locking cost basis in holdings.
- Updated `materializer` to integrate reconciliation logic and respect locked holdings.
- Extended tests for cost basis-related workflows to ensure accuracy and reliability.
* Fix cost basis calculation in holdings controller
- Ensure `cost_basis` is converted to decimal for accurate arithmetic.
- Fix conditional check to properly validate positive `cost_basis`.
* Improve cost basis validation and error handling in holdings controller
- Allow zero as a valid cost basis for gifted/inherited shares.
- Add error handling with user feedback for invalid cost basis values.
---------
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
- Refactored `persist_holdings` to separate and conditionally upsert holdings with and without cost_basis.
- Updated `avg_cost` logic to treat 0 cost_basis as unknown and return nil when cost_basis cannot be determined.
- Modified trend and investment calculation to exclude holdings with unknown cost_basis.
- Adjusted `average_cost` formatting to handle nil values in API responses and views.
- Added comprehensive tests to ensure cost_basis preservation and fallback behavior.
- Localized `unknown` label for display when cost_basis is unavailable.
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>