Files
sure/test/models/trading212_holdings_processor_test.rb
jdcdp 849578a84a Add support for trading212 integration in investments sync (#2513)
* Add support for trading212 integration in investments sync

* Respect Trading 212 history rate limits

* Replace hex colors with design tokens

* Changed withdrawal to withdraw

* Address PR review feedback for Trading 212 integration

- Replace all Rails.logger calls with DebugLogEntry.capture across
  syncer, importer, processor, provider, controller, and unlinking
- Fix destroy action to surface unlink errors via DebugLogEntry
- Replace hardcoded 'GBP' currency fallback with Current.family.currency
- Replace hardcoded English status strings in Syncer with i18n
- Add config/initializers/trading212.rb with DEBUG_RAW ENV toggle
- Add comprehensive test coverage: item, account, data_helpers,
  holdings_processor, activities_processor, importer, syncer,
  and controller tests
- Rewrite syncer and controller tests to match actual interfaces

* Fix tests and bugs found during local test execution

- Fix standard_ticker: empty string caused nil.upcase via [].first
- Fix parse_date: DateTime < Date, so when Date caught DateTime first
- Fix ActivitiesProcessor/HoldingsProcessor: missing instruments_map
  in DataHelpers caused NameError when processing dividends
- Fix test: security fixture ticker collision with test data
- Fix test: sync_status_summary i18n matching in assertions
- Fix test: trading212_provider ConfigurationError test path
- Fix test: controller invalid params needs Turbo-Frame header
- Fix test: syncer test uses stubs instead of strict expects

116 tests, 257 assertions, 0 failures, 0 errors

* Keep raw provider response bodies out of exception messages.

* Fix Secrets leak into page HTML, prevents the API key/secret from appearing in the HTML source while keeping the "leave blank to keep existing" UX.

* Address review findings: env gate, sync test, uniqueness test, destroy flow

- Gate TRADING212_DEBUG_RAW behind Rails.env.local? so staging/production
  cannot accidentally enable raw payload logging
- Assert SyncJob enqueue in sync controller test, not just redirect
- Fix cross-item uniqueness test to actually use two different items
- Remove rescue in destroy so unlink failures stop the flow (matching
  Brex/Akahu pattern) instead of proceeding to destroy_later silently

* Add Trading212 tables to db/schema.rb for CI test database

CI runs db:test:prepare which loads db/schema.rb, not migrations.
Without these table definitions, fixture loading fails with
PG::UndefinedTable: relation "trading212_accounts" does not exist.

* Removed lint complaint

* Register Trading212 in ProviderConnectionStatus::PROVIDERS

Fixes CI failure: test_provider_registry_covers_syncable_family_provider_item_associations

* Fixed bad merge

---------

Signed-off-by: jdcdp <47483528+jdcdp@users.noreply.github.com>
Co-authored-by: jdcdp <jdcdp@cdm4.net>
2026-07-25 04:54:30 +02:00

209 lines
5.4 KiB
Ruby

require "test_helper"
class Trading212HoldingsProcessorTest < ActiveSupport::TestCase
setup do
@family = families(:dylan_family)
@trading212_item = trading212_items(:configured_item)
@trading212_account = trading212_accounts(:main_account)
# Link to an investment account
@account = @family.accounts.create!(
name: "Test T212 Investment",
balance: 0,
cash_balance: 0,
currency: "USD",
accountable: Investment.new
)
@trading212_account.ensure_account_provider!(@account)
@trading212_account.reload
end
# === process ===
test "processor creates holdings from raw positions payload" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "AAPL_US_EQ",
"isin" => "US0378331005",
"name" => "Apple Inc.",
"currency" => "USD"
},
"quantity" => "50",
"currentPrice" => "175.00",
"averagePricePaid" => "150.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
security = Security.find_by(ticker: "AAPL")
assert_not_nil security
holding = @account.holdings.find_by(security: security)
assert_not_nil holding
assert_equal BigDecimal("50"), holding.qty
assert_equal BigDecimal("175.00"), holding.price
end
test "processor stores cost basis when available" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "TSLA_US_EQ",
"name" => "Tesla Inc."
},
"quantity" => "25",
"currentPrice" => "250.00",
"averagePricePaid" => "200.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
security = Security.find_by(ticker: "TSLA")
holding = @account.holdings.find_by(security: security)
assert_not_nil holding
assert_equal BigDecimal("200.00"), holding.cost_basis
assert_equal "provider", holding.cost_basis_source
end
test "processor skips position with blank ticker" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "",
"name" => "No Ticker"
},
"quantity" => "100",
"currentPrice" => "50.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
assert_nothing_raised do
processor.process
end
assert_equal 0, @account.holdings.count
end
test "processor skips position with zero quantity" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "MSFT_US_EQ",
"name" => "Microsoft"
},
"quantity" => "0",
"currentPrice" => "400.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
assert_equal 0, @account.holdings.count
end
test "processor skips position with nil price" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "GOOGL_US_EQ",
"name" => "Alphabet"
},
"quantity" => "10",
"currentPrice" => nil
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
assert_equal 0, @account.holdings.count
end
test "processor is idempotent - does not duplicate holdings" do
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => {
"ticker" => "NVDA_US_EQ",
"name" => "Nvidia"
},
"quantity" => "30",
"currentPrice" => "800.00",
"averagePricePaid" => "600.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
2.times { processor.process }
security = Security.find_by(ticker: "NVDA")
assert_equal 1, @account.holdings.where(security: security).count
end
test "processor handles empty positions payload" do
@trading212_account.update!(raw_positions_payload: [])
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
assert_equal 0, @account.holdings.count
end
test "processor returns early when no account linked" do
@trading212_account.account_provider.destroy!
@trading212_account.update!(
raw_positions_payload: [
{
"instrument" => { "ticker" => "AAPL_US_EQ", "name" => "Apple" },
"quantity" => "10",
"currentPrice" => "150.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
processor.process
assert_equal 0, @account.holdings.count
end
test "processor gracefully handles individual position errors" do
# Position without instrument at all
@trading212_account.update!(
raw_positions_payload: [
{
# Missing instrument key entirely
"quantity" => "10",
"currentPrice" => "150.00"
}
]
)
processor = Trading212Account::HoldingsProcessor.new(@trading212_account)
assert_nothing_raised do
processor.process
end
end
end