6.3 KiB
Trade Object
Trade
A position freqtrade enters is stored in a Trade
object - which is persisted to the database.
It's a core concept of freqtrade - and something you'll come across in many sections of the documentation, which will most likely point you to this location.
It will be passed to the strategy in many strategy callbacks. The object passed to the strategy cannot be modified directly. Indirect modifications may occur based on callback results.
Trade - Available attributes
The following attributes / properties are available for each individual trade - and can be used with trade.<property>
(e.g. trade.pair
).
Attribute | DataType | Description |
---|---|---|
pair |
string | Pair of this trade |
is_open |
boolean | Is the trade currently open, or has it been concluded |
open_rate |
float | Rate this trade was entered at (Avg. entry rate in case of trade-adjustments) |
close_rate |
float | Close rate - only set when is_open = False |
stake_amount |
float | Amount in Stake (or Quote) currency. |
amount |
float | Amount in Asset / Base currency that is currently owned. |
open_date |
datetime | Timestamp when trade was opened use open_date_utc instead |
open_date_utc |
datetime | Timestamp when trade was opened - in UTC |
close_date |
datetime | Timestamp when trade was closed use close_date_utc instead |
close_date_utc |
datetime | Timestamp when trade was closed - in UTC |
close_profit |
float | Relative profit at the time of trade closure. 0.01 == 1% |
close_profit_abs |
float | Absolute profit (in stake currency) at the time of trade closure. |
leverage |
float | Leverage used for this trade - defaults to 1.0 in spot markets. |
enter_tag |
string | Tag provided on entry via the enter_tag column in the dataframe |
is_short |
boolean | True for short trades, False otherwise |
orders |
Order[] | List of order objects attached to this trade (includes both filled and cancelled orders) |
date_last_filled_utc |
datetime | Time of the last filled order |
entry_side |
"buy" / "sell" | Order Side the trade was entered |
exit_side |
"buy" / "sell" | Order Side that will result in a trade exit / position reduction. |
trade_direction |
"long" / "short" | Trade direction in text - long or short. |
nr_of_successful_entries |
int | Number of successful (filled) entry orders |
nr_of_successful_exits |
int | Number of successful (filled) exit orders |
Class methods
The following are class methods - which return generic information, and usually result in an explicit query against the database.
They can be used as Trade.<method>
- e.g. open_trades = Trade.get_open_trade_count()
!!! Warning "Backtesting/hyperopt"
Most methods will work in both backtesting / hyperopt and live/dry modes.
During backtesting, it's limited to usage in strategy callbacks. Usage in populate_*()
methods is not supported and will result in wrong results.
get_trades_proxy
When your strategy needs some information on existing (open or close) trades - it's best to use Trade.get_trades_proxy()
.
Usage:
from freqtrade.persistence import Trade
from datetime import timedelta
# ...
trade_hist = Trade.get_trades_proxy(pair='ETH/USDT', is_open=False, open_date=current_date - timedelta(days=2))
get_trades_proxy()
supports the following keyword arguments. All arguments are optional - calling get_trades_proxy()
without arguments will return a list of all trades in the database.
pair
e.g.pair='ETH/USDT'
is_open
e.g.is_open=False
open_date
e.g.open_date=current_date - timedelta(days=2)
close_date
e.g.close_date=current_date - timedelta(days=5)
get_open_trade_count
Get the number of currently open trades
from freqtrade.persistence import Trade
# ...
open_trades = Trade.get_open_trade_count()
get_total_closed_profit
Retrieve the total profit the bot has generated so far.
Aggregates close_profit_abs
for all closed trades.
from freqtrade.persistence import Trade
# ...
profit = Trade.get_total_closed_profit()
total_open_trades_stakes
Retrieve the total stake_amount that's currently in trades.
from freqtrade.persistence import Trade
# ...
profit = Trade.total_open_trades_stakes()
get_overall_performance
Retrieve the overall performance - similar to the /performance
telegram command.
from freqtrade.persistence import Trade
# ...
if self.config['runmode'].value in ('live', 'dry_run'):
performance = Trade.get_overall_performance()
Sample return value: ETH/BTC had 5 trades, with a total profit of 1.5% (ratio of 0.015).
{"pair": "ETH/BTC", "profit": 0.015, "count": 5}
Order Object
An Order
object represents an order on the exchange (or a simulated order in dry-run mode).
An Order
object will always be tied to it's corresponding Trade
, and only really makes sense in the context of a trade.
Order - Available attributes
an Order object is typically attached to a trade. Most properties here can be None as they are dependent on the exchange response.
Attribute | DataType | Description |
---|---|---|
trade |
Trade | Trade object this order is attached to |
ft_pair |
string | Pair this order is for |
ft_is_open |
boolean | is the order filled? |
order_type |
string | Order type as defined on the exchange - usually market, limit or stoploss |
status |
string | Status as defined by ccxt. Usually open, closed, expired or canceled |
side |
string | Buy or Sell |
price |
float | Price the order was placed at |
average |
float | Average price the order filled at |
amount |
float | Amount in base currency |
filled |
float | Filled amount (in base currency) |
remaining |
float | Remaining amount |
cost |
float | Cost of the order - usually average * filled (Exchange dependent on futures, may contain the cost with or without leverage and may be in contracts.) |
stake_amount |
float | Stake amount used for this order. Added in 2023.7. |
order_date |
datetime | Order creation date use order_date_utc instead |
order_date_utc |
datetime | Order creation date (in UTC) |
order_fill_date |
datetime | Order fill date use order_fill_utc instead |
order_fill_date_utc |
datetime | Order fill date |