reset_deposits#
API documentation for tradeexecutor.cli.commands.reset_deposits.reset_deposits Python function.
- reset_deposits(id=<typer.models.OptionInfo object>, name=<typer.models.OptionInfo object>, strategy_file=<typer.models.OptionInfo object>, state_file=<typer.models.OptionInfo object>, private_key=<typer.models.OptionInfo object>, log_level=<typer.models.OptionInfo object>, asset_management_mode=<typer.models.OptionInfo object>, vault_address=<typer.models.OptionInfo object>, vault_deployment_block_number=<typer.models.OptionInfo object>, json_rpc_binance=<typer.models.OptionInfo object>, json_rpc_polygon=<typer.models.OptionInfo object>, json_rpc_avalanche=<typer.models.OptionInfo object>, json_rpc_ethereum=<typer.models.OptionInfo object>, json_rpc_arbitrum=<typer.models.OptionInfo object>, json_rpc_anvil=<typer.models.OptionInfo object>)[source]#
Reset account balances.
Resets account balances from on-chain data. This includes reserve and spot market balances. Does not lose trade history, but lose any unprocessed deposit and redemption events.
- Parameters:
id (str) –
name (str) –
strategy_file (Path) –
log_level (str) –
asset_management_mode (AssetManagementMode) –