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* Add stock probe market/adjust/suspension fields and StockRules (3d-30 B1-B2)Somhairle H. Marisol13 days2-0/+111
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* Add bond full milestone: profile probe, coupon/accrual rules, ledger and ↵Somhairle H. Marisol13 days2-0/+142
| | | | point-in-time valuation (3d-29)
* Add rebalancing execution slice (3d-11)Somhairle H. Marisol13 days1-29/+95
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* Add scheduled investment plans (3d-10)Somhairle H. Marisol13 days2-0/+98
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* Add dividend history visibility (3d-9a)Somhairle H. Marisol13 days1-0/+5
| | | | Expose a deterministic source key on booked dividend records and surface a read-only dividend history panel with empty state, backed by API tests and browser QA assertions.
* Add dividend slice (3d-8)Somhairle H. Marisol13 days2-0/+110
| | | | Book cash dividends to available cash exactly once and reinvest dividends through the shared subscription pipeline, with deterministic scheme idempotency and cross-position isolation.
* Add rebalance execution through shared order pipeline (3d-7)Somhairle H. Marisol14 days2-0/+163
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* Drive SIP plans through the shared order pipeline (3d-6)Somhairle H. Marisol14 days1-0/+19
| | | | | | | | | | | | | | | | | | | | | | | Advance executes due periods as real subscription orders: each due trade date claims a sip_executions row (PRIMARY KEY plan_id+trade_date makes same-plan same-day runs atomic), places the order through CreateSubscriptionOrder with a deterministic idempotency key (sip:{plan}:{date}) and the period's trade date, then confirms through the shared ConfirmSubscriptionOrder pipeline with key sip-confirm:{plan}:{date} — identical freeze/fee/units math as manual orders, nothing bypasses confirmation. Outcomes: succeeded, pending_nav (cash stays frozen; later drives retry the confirmation once the NAV lands), insufficient_cash (no order placed, period fails visibly, reruns keep the marker), failed. Plans roll their next_trade_date past the processed window and repeats of the same endDate replay recorded executions instead of re-debiting. Domain adds SipPolicy.advancePlan (due-date enumeration; weekends-only trading-calendar approximation, noted in code). POST /funds/{id}/sip/advance {endDate?, limit?} drives execution on demand (no daemon). Plan responses/rows now carry last execution status/date; front-end shows 已执行/待净值/现金不足 per plan. Optional tradeDateOverride/anchorOverride keep manual flows untouched.
* Add SIP plan first slice (3d-5)Somhairle H. Marisol14 days2-0/+95
| | | | | | | | | | | | | | | | | | | | | Introduce scheduled-investment plans as a schedule-only slice with no cash, position or NAV side effects. Domain gains SipPolicy: amount validation (positive, two-decimal, overflow-checked), frequency parsing/round-trip (weekly/biweekly/monthly), nextTradeDate generating the next due trade date off the plan anchor with month-end clamping and weekend roll-forward, plus the isDue/executionNetAmount contract the future executor will implement (execution itself stays unimplemented and is marked as such; nothing debits cash in this slice). Persistence stores plans in sip_plans with anchor/next trade dates and sip_plan_idempotencies under the shared replay/conflict contract; the API exposes POST/GET /funds/{id}/sip/plans behind the bearer token. The frontend adds a 07/SIP panel (code, amount, frequency select, plan list with next debit date) and Web tests cover decoding, validation, in-flight guards and stale completions. Choice note: first debit is scheduled strictly after the anchor date (creating a plan today never debits today).
* Add additional capital deposit flow (3d-4)Somhairle H. Marisol14 days2-0/+28
| | | | | | | | | | | | | | | | | | Deposits credit a fund's available cash directly: Domain gains CapitalPolicy (positive, two-decimal, overflow-checked amounts plus a settle function that never touches units, NAV or realized P&L). Persistence records deposits in fund_capital_deposits with a fund_capital_idempotencies table, crediting cash and the deposit row atomically under the same replay/conflict semantics as orders. The API exposes POST /funds/{id}/capital/deposit and GET /funds/{id}/capital/deposits behind the bearer token and idempotency keys. The frontend adds an '追加资金' entry on the fund cash card with in-place balance refresh, and repeats of the same amount reuse the idempotency key so double submits credit cash exactly once. Browser QA extends the J-series (J12-J18): invalid-amount rejection without POST, single credited deposit with a 32-hex key, instant balance refresh, unchanged units/cost proving no realized-income impact, and same-key replay crediting only once.
* Add redemption order minimal closed loop (3d-3)Somhairle H. Marisol14 days2-0/+85
| | | | | | | | | | | | | | | | | | | | | Redeem confirmed holdings end to end with exact decimal semantics: submission freezes position units (reserved_units) after an available-units check without touching cash, confirmation settles at the trade-date NAV with evidence and deferral rules identical to subscriptions, credits the fund with proceeds net of the stated fee, and writes off position cost pro rata (full redemption removes the position row). Cash conservation holds at every step: frozen shares and receivable cash never appear as available cash before settlement. Domain gains RedemptionPolicy (request validation plus proceeds/fee/ cost-release computation) with unit tests. Persistence adds redemption_orders, idempotency tables, reserved_units on positions and Create/Confirm repository members; the API exposes POST/GET /funds/{id}/redemptions and POST .../confirm. The frontend adds a 06/REDEEM panel (submit, confirm, pending reasons, confirmed proceeds/cost display), frozen-share display on the holdings panel, and refresh wiring. Browser QA gains a K-series covering freeze, settlement, cash accounting, replay and over-redemption rejection.
* feat(core): 建立 fund-lab 可运行基线Somhairle H. Marisol2026-09-204-0/+1045
[变更性质] - 本提交冻结当前可构建、可测试的应用基线,不包含 PostgreSQL 持久化。 [新增功能] - 建立 F# Domain、API、Worker、Web 及测试项目。 - 增加 Bearer 认证、健康检查、账本领域模型和中文空状态页面。 [实现方案] - 使用环境变量模板注入认证配置,并排除数据、凭证和构建产物。 - 保留 19 个 Domain 测试和 5 个 API 测试作为后续变更基准。 [影响范围] - 为后续 3a PostgreSQL FOF 创建/读取切片提供可回滚基线。 - 当前仍不接入真实基金数据、真实交易或数据库。