@structbuild/sdk 0.6.0 → 0.6.2
This diff represents the content of publicly available package versions that have been released to one of the supported registries. The information contained in this diff is provided for informational purposes only and reflects changes between package versions as they appear in their respective public registries.
- package/dist/generated/polymarket.d.ts +14 -11
- package/dist/generated/webhooks.d.ts +626 -10
- package/dist/generated/ws-alerts.d.ts +630 -11
- package/dist/generated/ws.d.ts +434 -7
- package/package.json +1 -1
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@@ -5227,7 +5227,7 @@ export interface components {
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* closed those values are no longer meaningful.
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* @enum {string}
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*/
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-
PositionClosedPnlSortBy: "realized_pnl_usd" | "total_buy_usd" | "total_sell_usd" | "redemption_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "realized_pnl_pct" | "total_pnl_pct" | "title" | "merge_count" | "split_count" | "end_date" | "is_neg_risk";
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+
PositionClosedPnlSortBy: "realized_pnl_usd" | "total_pnl_usd" | "unrealized_pnl_usd" | "merge_usd" | "convert_collateral_usd" | "converted_count" | "converted_shares_gained" | "converted_shares_lost" | "last_traded_price" | "total_buy_usd" | "total_sell_usd" | "redemption_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "realized_pnl_pct" | "total_pnl_pct" | "title" | "merge_count" | "split_count" | "end_date" | "is_neg_risk";
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/** @description Per-position detail for Split/Merge/Redemption trades. */
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PositionDetail: {
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/** @description Market condition ID for this ERC1155 position. */
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@@ -5256,11 +5256,6 @@ export interface components {
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condition_id?: string | null;
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market_slug?: string | null;
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event_slug?: string | null;
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-
/**
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* @description Market category slug — mirror of `PositionRollup.category_id`
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* resolved server-side. Enables `?category=<slug>` filtering on
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* the positions endpoint.
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*/
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category?: string | null;
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title?: string | null;
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question?: string | null;
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@@ -5307,7 +5302,11 @@ export interface components {
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*/
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avg_price?: number | null;
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/** Format: double */
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-
realized_pnl_usd?: number
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+
realized_pnl_usd?: number;
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/** Format: double */
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total_pnl_usd?: number;
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/** Format: double */
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unrealized_pnl_usd?: number;
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/** Format: double */
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total_fees?: number | null;
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/** Format: int64 */
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@@ -5427,7 +5426,11 @@ export interface components {
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*/
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avg_price?: number | null;
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/** Format: double */
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realized_pnl_usd?: number
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realized_pnl_usd?: number;
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/** Format: double */
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total_pnl_usd?: number;
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/** Format: double */
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unrealized_pnl_usd?: number;
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/** Format: double */
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total_fees?: number | null;
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/** Format: int64 */
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@@ -5551,7 +5554,7 @@ export interface components {
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* (`redeemable`, `mergeable`) are exclusive to open positions.
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* @enum {string}
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*/
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-
PositionOpenPnlSortBy: "realized_pnl_usd" | "total_buy_usd" | "total_sell_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "current_value" | "realized_pnl_pct" | "total_pnl_pct" | "title" | "current_price" | "current_shares_balance" | "merge_count" | "split_count" | "end_date" | "is_neg_risk" | "redeemable" | "mergeable";
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PositionOpenPnlSortBy: "realized_pnl_usd" | "total_pnl_usd" | "unrealized_pnl_usd" | "merge_usd" | "convert_collateral_usd" | "converted_count" | "converted_shares_gained" | "converted_shares_lost" | "last_traded_price" | "total_buy_usd" | "total_sell_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "current_value" | "realized_pnl_pct" | "total_pnl_pct" | "title" | "current_price" | "current_shares_balance" | "merge_count" | "split_count" | "end_date" | "is_neg_risk" | "redeemable" | "mergeable";
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/**
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* @description Union of every sort_by value accepted by the positions endpoint
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* across both `status=open` and `status=closed`. Note that some
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@@ -5562,7 +5565,7 @@ export interface components {
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* `PositionClosedPnlSortBy` for the exact per-status whitelists.
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* @enum {string}
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*/
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-
PositionPnlSortBy: "realized_pnl_usd" | "total_buy_usd" | "total_sell_usd" | "redemption_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "current_value" | "realized_pnl_pct" | "total_pnl_pct" | "current_price" | "current_shares_balance" | "merge_count" | "split_count" | "title" | "end_date" | "is_neg_risk" | "redeemable" | "mergeable";
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+
PositionPnlSortBy: "realized_pnl_usd" | "total_pnl_usd" | "unrealized_pnl_usd" | "merge_usd" | "convert_collateral_usd" | "converted_count" | "converted_shares_gained" | "converted_shares_lost" | "last_traded_price" | "total_buy_usd" | "total_sell_usd" | "redemption_usd" | "total_buys" | "total_sells" | "total_shares_bought" | "total_shares_sold" | "avg_entry_price" | "avg_exit_price" | "avg_price" | "total_fees" | "first_trade_at" | "last_trade_at" | "current_value" | "realized_pnl_pct" | "total_pnl_pct" | "current_price" | "current_shares_balance" | "merge_count" | "split_count" | "title" | "end_date" | "is_neg_risk" | "redeemable" | "mergeable";
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/** @enum {string} */
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PositionStatus: "open" | "closed";
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PositionVolumeChartResponse: {
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@@ -9502,7 +9505,7 @@ export interface operations {
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won?: boolean;
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/** @description Case-insensitive substring match on the market title. Scoped to the chosen `status` — results never cross the open/closed boundary. */
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search?: string;
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-
/** @description Sort field. Default:
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/** @description Sort field. Default: total_pnl_usd. status=open accepts: realized_pnl_usd, total_pnl_usd, unrealized_pnl_usd, merge_usd, convert_collateral_usd, converted_count, converted_shares_gained, converted_shares_lost, last_traded_price, total_buy_usd, total_sell_usd, total_buys, total_sells, total_shares_bought, total_shares_sold, avg_entry_price, avg_exit_price, avg_price, total_fees, first_trade_at, last_trade_at, current_value, realized_pnl_pct, total_pnl_pct, title, current_price, current_shares_balance, merge_count, split_count, end_date, is_neg_risk, redeemable, mergeable. status=closed accepts: realized_pnl_usd, total_pnl_usd, unrealized_pnl_usd, merge_usd, convert_collateral_usd, converted_count, converted_shares_gained, converted_shares_lost, last_traded_price, total_buy_usd, total_sell_usd, redemption_usd, total_buys, total_sells, total_shares_bought, total_shares_sold, avg_entry_price, avg_exit_price, avg_price, total_fees, first_trade_at, last_trade_at, realized_pnl_pct, total_pnl_pct, title, merge_count, split_count, end_date, is_neg_risk. */
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sort_by?: components["schemas"]["PositionPnlSortBy"];
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/** @description Default: desc */
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sort_direction?: components["schemas"]["SortDirection"];
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