Fix table style

This commit is contained in:
Matthias
2024-06-11 07:11:20 +02:00
parent 12d7fbb379
commit 9e3be765d0

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@@ -13,28 +13,28 @@ The following attributes / properties are available for each individual trade -
| Attribute | DataType | Description | | Attribute | DataType | Description |
|------------|-------------|-------------| |------------|-------------|-------------|
`pair`| string | Pair of this trade | `pair` | string | Pair of this trade. |
`is_open`| boolean | Is the trade currently open, or has it been concluded | `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) | `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 | `close_rate` | float | Close rate - only set when is_open = False. |
`stake_amount`| float | Amount in Stake (or Quote) currency. | `stake_amount` | float | Amount in Stake (or Quote) currency. |
`amount`| float | Amount in Asset / Base currency that is currently owned. | `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` | datetime | Timestamp when trade was opened **use `open_date_utc` instead** |
`open_date_utc`| datetime | Timestamp when trade was opened - in UTC | `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` | datetime | Timestamp when trade was closed **use `close_date_utc` instead** |
`close_date_utc`| datetime | Timestamp when trade was closed - in UTC | `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` | 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. | `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. | `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 | `enter_tag` | string | Tag provided on entry via the `enter_tag` column in the dataframe. |
`is_short` | boolean | True for short trades, False otherwise | `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) | `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 | `date_last_filled_utc` | datetime | Time of the last filled order. |
`entry_side` | "buy" / "sell" | Order Side the trade was entered | `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. | `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. | `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_entries` | int | Number of successful (filled) entry orders. |
`nr_of_successful_exits` | int | Number of successful (filled) exit orders | `nr_of_successful_exits` | int | Number of successful (filled) exit orders. |
## Class methods ## Class methods