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* Placeholder logic for missing prices * Generate holdings properly for "offline" securities * Separate forward and reverse calculators for holdings and balances * Remove unnecessary currency conversion during sync * Clearer sync process * Move price caching logic to dedicated model * Base holding calculator * Base calculator for balances * Finish balance calculators * Better naming * Logs cleanup * Remove stale data type * Remove stale test * Fix price lookup logic for holdings sync * Fix Plaid item sync regression * Remove temp logging * Calculate cash and holdings series * Add holdings, cash, and balance series dropdown for investments
47 lines
1.2 KiB
Ruby
47 lines
1.2 KiB
Ruby
class Account::Balance::SyncCache
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def initialize(account)
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@account = account
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end
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def get_valuation(date)
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converted_entries.find { |e| e.date == date && e.account_valuation? }
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end
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def get_holdings(date)
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converted_holdings.select { |h| h.date == date }
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end
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def get_entries(date)
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converted_entries.select { |e| e.date == date && (e.account_transaction? || e.account_trade?) }
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end
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private
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attr_reader :account
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def converted_entries
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@converted_entries ||= account.entries.order(:date).to_a.map do |e|
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converted_entry = e.dup
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converted_entry.amount = converted_entry.amount_money.exchange_to(
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account.currency,
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date: e.date,
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fallback_rate: 1
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).amount
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converted_entry.currency = account.currency
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converted_entry
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end
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end
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def converted_holdings
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@converted_holdings ||= account.holdings.map do |h|
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converted_holding = h.dup
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converted_holding.amount = converted_holding.amount_money.exchange_to(
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account.currency,
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date: h.date,
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fallback_rate: 1
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).amount
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converted_holding.currency = account.currency
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converted_holding
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end
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end
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end
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