API documentation for tradeexecutor.state.sync Python module in Trading Strategy.
“Store information about caught up chain state.
Treasury understanding is needed in order to reflect on-chain balance changes to the strategy execution
Most treasury changes are deposits and redemptions
Interest rate events also change on-chain treasury balances
tradeexecutor.strategy.sync_modelhow to on-chain treasuty
State of accounting corrections.
Register the balance event in the treasury model.
Information for the strategy deployment.
Track the interest sync for on-chain rebase tokens.
On-chain sync state.
State of syncind deposits and redemptions from the chain.