-- CreateTable CREATE TABLE "Trade" ( "id" TEXT NOT NULL, "createdAt" TIMESTAMP(3) NOT NULL DEFAULT CURRENT_TIMESTAMP, "updatedAt" TIMESTAMP(3) NOT NULL, "positionId" TEXT NOT NULL, "symbol" TEXT NOT NULL, "direction" TEXT NOT NULL, "entryPrice" DOUBLE PRECISION NOT NULL, "entryTime" TIMESTAMP(3) NOT NULL, "entrySlippage" DOUBLE PRECISION, "positionSizeUSD" DOUBLE PRECISION NOT NULL, "leverage" DOUBLE PRECISION NOT NULL, "stopLossPrice" DOUBLE PRECISION NOT NULL, "softStopPrice" DOUBLE PRECISION, "hardStopPrice" DOUBLE PRECISION, "takeProfit1Price" DOUBLE PRECISION NOT NULL, "takeProfit2Price" DOUBLE PRECISION NOT NULL, "tp1SizePercent" DOUBLE PRECISION NOT NULL, "tp2SizePercent" DOUBLE PRECISION NOT NULL, "exitPrice" DOUBLE PRECISION, "exitTime" TIMESTAMP(3), "exitReason" TEXT, "realizedPnL" DOUBLE PRECISION, "realizedPnLPercent" DOUBLE PRECISION, "holdTimeSeconds" INTEGER, "maxDrawdown" DOUBLE PRECISION, "maxGain" DOUBLE PRECISION, "entryOrderTx" TEXT NOT NULL, "tp1OrderTx" TEXT, "tp2OrderTx" TEXT, "slOrderTx" TEXT, "softStopOrderTx" TEXT, "hardStopOrderTx" TEXT, "exitOrderTx" TEXT, "configSnapshot" JSONB NOT NULL, "signalSource" TEXT, "signalStrength" TEXT, "timeframe" TEXT, "status" TEXT NOT NULL DEFAULT 'open', CONSTRAINT "Trade_pkey" PRIMARY KEY ("id") ); -- CreateTable CREATE TABLE "PriceUpdate" ( "id" TEXT NOT NULL, "createdAt" TIMESTAMP(3) NOT NULL DEFAULT CURRENT_TIMESTAMP, "tradeId" TEXT NOT NULL, "price" DOUBLE PRECISION NOT NULL, "pnl" DOUBLE PRECISION NOT NULL, "pnlPercent" DOUBLE PRECISION NOT NULL, CONSTRAINT "PriceUpdate_pkey" PRIMARY KEY ("id") ); -- CreateTable CREATE TABLE "SystemEvent" ( "id" TEXT NOT NULL, "createdAt" TIMESTAMP(3) NOT NULL DEFAULT CURRENT_TIMESTAMP, "eventType" TEXT NOT NULL, "message" TEXT NOT NULL, "details" JSONB, CONSTRAINT "SystemEvent_pkey" PRIMARY KEY ("id") ); -- CreateTable CREATE TABLE "DailyStats" ( "id" TEXT NOT NULL, "date" TIMESTAMP(3) NOT NULL, "tradesCount" INTEGER NOT NULL, "winningTrades" INTEGER NOT NULL, "losingTrades" INTEGER NOT NULL, "totalPnL" DOUBLE PRECISION NOT NULL, "totalPnLPercent" DOUBLE PRECISION NOT NULL, "winRate" DOUBLE PRECISION NOT NULL, "avgWin" DOUBLE PRECISION NOT NULL, "avgLoss" DOUBLE PRECISION NOT NULL, "profitFactor" DOUBLE PRECISION NOT NULL, "maxDrawdown" DOUBLE PRECISION NOT NULL, "sharpeRatio" DOUBLE PRECISION, "createdAt" TIMESTAMP(3) NOT NULL DEFAULT CURRENT_TIMESTAMP, "updatedAt" TIMESTAMP(3) NOT NULL, CONSTRAINT "DailyStats_pkey" PRIMARY KEY ("id") ); -- CreateIndex CREATE UNIQUE INDEX "Trade_positionId_key" ON "Trade"("positionId"); -- CreateIndex CREATE INDEX "Trade_symbol_idx" ON "Trade"("symbol"); -- CreateIndex CREATE INDEX "Trade_createdAt_idx" ON "Trade"("createdAt"); -- CreateIndex CREATE INDEX "Trade_status_idx" ON "Trade"("status"); -- CreateIndex CREATE INDEX "Trade_exitReason_idx" ON "Trade"("exitReason"); -- CreateIndex CREATE INDEX "PriceUpdate_tradeId_idx" ON "PriceUpdate"("tradeId"); -- CreateIndex CREATE INDEX "PriceUpdate_createdAt_idx" ON "PriceUpdate"("createdAt"); -- CreateIndex CREATE INDEX "SystemEvent_eventType_idx" ON "SystemEvent"("eventType"); -- CreateIndex CREATE INDEX "SystemEvent_createdAt_idx" ON "SystemEvent"("createdAt"); -- CreateIndex CREATE UNIQUE INDEX "DailyStats_date_key" ON "DailyStats"("date"); -- CreateIndex CREATE INDEX "DailyStats_date_idx" ON "DailyStats"("date"); -- AddForeignKey ALTER TABLE "PriceUpdate" ADD CONSTRAINT "PriceUpdate_tradeId_fkey" FOREIGN KEY ("tradeId") REFERENCES "Trade"("id") ON DELETE CASCADE ON UPDATE CASCADE;