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API-CHANGELOG.md

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API Changelog

This changelog is intended to list all updates to the public API methods.

For info about how API versioning works, including examples, please view the XLS-22d spec. For details about the implementation of API versioning, view the implementation PR. API versioning ensures existing integrations and users continue to receive existing behavior, while those that request a higher API version will experience new behavior.

The API version controls the API behavior you see. This includes what properties you see in responses, what parameters you're permitted to send in requests, and so on. You specify the API version in each of your requests. When a breaking change is introduced to the rippled API, a new version is released. To avoid breaking your code, you should set (or increase) your version when you're ready to upgrade.

For a log of breaking changes, see the API Version [number] headings. In general, breaking changes are associated with a particular API Version number. For non-breaking changes, scroll to the XRP Ledger version [x.y.z] headings. Non-breaking changes are associated with a particular XRP Ledger (rippled) release.

API Version 1

This version is supported by all rippled versions. At time of writing, it is the default API version, used when no api_version is specified. When a new API version is introduced, the command line interface will default to the latest API version. The command line is intended for ad-hoc usage by humans, not programs or automated scripts. The command line is not meant for use in production code.

Idiosyncrasies

V1 account_info response

In the response to the account_info command, there is account_data - which is supposed to be an AccountRoot object - and signer_lists is returned in this object. However, the docs say that signer_lists should be at the root level of the reponse.

It makes sense for signer_lists to be at the root level because signer lists are not part of the AccountRoot object. (First reported in xrpl-dev-portal#938.)

In api_version: 2, the signer_lists field will be moved to the root level of the account_info response. (#3770)

server_info - network_id

The network_id field was added in the server_info response in version 1.5.0 (2019), but it is not returned in reporting mode.

XRP Ledger server version 2.0.0

Additions in 2.2

Additions are intended to be non-breaking (because they are purely additive).

  • feature: A non-admin mode that uses the same formatting as admin RPC, but hides potentially-sensitive data.

Additions in 2.0

Additions are intended to be non-breaking (because they are purely additive).

  • server_definitions: A new RPC that generates a definitions.json-like output that can be used in XRPL libraries.
  • In Payment transactions, DeliverMax has been added. This is a replacement for the Amount field, which should not be used. Typically, the delivered_amount (in transaction metadata) should be used. To ease the transition, DeliverMax is present regardless of API version, since adding a field is non-breaking.
  • API version 2 has been moved from beta to supported, meaning that it is generally available (regardless of the beta_rpc_api setting).

XRP Ledger server version 1.12.0

Version 1.12.0 was released on Sep 6, 2023.

Additions in 1.12

Additions are intended to be non-breaking (because they are purely additive).

  • server_info: Added ports, an array which advertises the RPC and WebSocket ports. This information is also included in the /crawl endpoint (which calls server_info internally). grpc and peer ports are also included. (#4427)
    • ports contains objects, each containing a port for the listening port (a number string), and a protocol array listing the supported protocols on that port.
    • This allows crawlers to build a more detailed topology without needing to port-scan nodes.
    • (For peers and other non-admin clients, the info about admin ports is excluded.)
  • Clawback: The following additions are gated by the Clawback amendment (featureClawback). (#4553)
    • Adds an AccountRoot flag called lsfAllowTrustLineClawback (#4617)
      • Adds the corresponding asfAllowTrustLineClawback AccountSet Flag as well.
      • Clawback is disabled by default, so if an issuer desires the ability to claw back funds, they must use an AccountSet transaction to set the AllowTrustLineClawback flag. They must do this before creating any trust lines, offers, escrows, payment channels, or checks.
    • Adds the Clawback transaction type, containing these fields:
      • Account: The issuer of the asset being clawed back. Must also be the sender of the transaction.
      • Amount: The amount being clawed back, with the Amount.issuer being the token holder's address.
  • Adds AMM (#4294, #4626) feature:
    • Adds amm_info API to retrieve AMM information for a given tokens pair.
    • Adds AMMCreate transaction type to create AMM instance.
    • Adds AMMDeposit transaction type to deposit funds into AMM instance.
    • Adds AMMWithdraw transaction type to withdraw funds from AMM instance.
    • Adds AMMVote transaction type to vote for the trading fee of AMM instance.
    • Adds AMMBid transaction type to bid for the Auction Slot of AMM instance.
    • Adds AMMDelete transaction type to delete AMM instance.
    • Adds sfAMMID to AccountRoot to indicate that the account is AMM's account. AMMID is used to fetch ltAMM.
    • Adds lsfAMMNode TrustLine flag to indicate that one side of the TrustLine is AMM account.
    • Adds tfLPToken, tfSingleAsset, tfTwoAsset, tfOneAssetLPToken, tfLimitLPToken, tfTwoAssetIfEmpty, tfWithdrawAll, tfOneAssetWithdrawAll which allow a trader to specify different fields combination for AMMDeposit and AMMWithdraw transactions.
    • Adds new transaction result codes:
      • tecUNFUNDED_AMM: insufficient balance to fund AMM. The account does not have funds for liquidity provision.
      • tecAMM_BALANCE: AMM has invalid balance. Calculated balances greater than the current pool balances.
      • tecAMM_FAILED: AMM transaction failed. Fails due to a processing failure.
      • tecAMM_INVALID_TOKENS: AMM invalid LP tokens. Invalid input values, format, or calculated values.
      • tecAMM_EMPTY: AMM is in empty state. Transaction requires AMM in non-empty state (LP tokens > 0).
      • tecAMM_NOT_EMPTY: AMM is not in empty state. Transaction requires AMM in empty state (LP tokens == 0).
      • tecAMM_ACCOUNT: AMM account. Clawback of AMM account.
      • tecINCOMPLETE: Some work was completed, but more submissions required to finish. AMMDelete partially deletes the trustlines.

XRP Ledger server version 1.11.0

Version 1.11.0 was released on Jun 20, 2023.

Breaking changes in 1.11

  • Added the ability to mark amendments as obsolete. For the feature admin API, there is a new possible value for the vetoed field. (#4291)
    • The value of vetoed can now be true, false, or "Obsolete".
  • Removed the acceptance of seeds or public keys in place of account addresses. (#4404)
    • This simplifies the API and encourages better security practices (i.e. seeds should never be sent over the network).
  • For the ledger_data method, when all entries are filtered out, the state field of the response is now an empty list (in other words, an empty array, []). (Previously, it would return null.) While this is technically a breaking change, the new behavior is consistent with the documentation, so this is considered only a bug fix. (#4398)
  • If and when the fixNFTokenRemint amendment activates, there will be a new AccountRoot field, FirstNFTSequence. This field is set to the current account sequence when the account issues their first NFT. If an account has not issued any NFTs, then the field is not set. (#4406)
    • There is a new account deletion restriction: an account can only be deleted if FirstNFTSequence + MintedNFTokens + 256 is less than the current ledger sequence.
    • This is potentially a breaking change if clients have logic for determining whether an account can be deleted.
  • NetworkID
    • For sidechains and networks with a network ID greater than 1024, there is a new transaction common field, NetworkID. (#4370)
      • This field helps to prevent replay attacks and is now required for chains whose network ID is 1025 or higher.
      • The field must be omitted for Mainnet, so there is no change for Mainnet users.
    • There are three new local error codes:
      • telNETWORK_ID_MAKES_TX_NON_CANONICAL: a NetworkID is present but the chain's network ID is less than 1025. Remove the field from the transaction, and try again.
      • telREQUIRES_NETWORK_ID: a NetworkID is required, but is not present. Add the field to the transaction, and try again.
      • telWRONG_NETWORK: a NetworkID is specified, but it is for a different network. Submit the transaction to a different server which is connected to the correct network.

Additions and bug fixes in 1.11

  • Added nftoken_id, nftoken_ids and offer_id meta fields into NFT tx and account_tx responses. (#4447)
  • Added an account_flags object to the account_info method response. (#4459)
  • Added NFTokenPages to the account_objects RPC. (#4352)
  • Fixed: marker returned from the account_lines command would not work on subsequent commands. (#4361)

XRP Ledger server version 1.10.0

Version 1.10.0 was released on Mar 14, 2023.

Breaking changes in 1.10

  • If the XRPFees feature is enabled, the fee_ref field will be removed from the ledger subscription stream, because it will no longer have any meaning.

API Version 2

API version 2 is introduced in rippled version 2.0. Users can request it explicitly by specifying "api_version" : 2.

Removed methods

In API version 2, the following deprecated methods are no longer available: (#4759)

  • tx_history - Instead, use other methods such as account_tx or ledger with the transactions field set to true.
  • ledger_header - Instead, use the ledger method.

Modifications to JSON transaction element in V2

In API version 2, JSON elements for transaction output have been changed and made consistent for all methods which output transactions. (#4775) This helps to unify the JSON serialization format of transactions. (XRPLF/clio#722, #4727)

  • JSON transaction element is named tx_json
  • Binary transaction element is named tx_blob
  • JSON transaction metadata element is named meta
  • Binary transaction metadata element is named meta_blob

Additionally, these elements are now consistently available next to tx_json (i.e. sibling elements), where possible:

  • hash - Transaction ID. This data was stored inside transaction output in API version 1, but in API version 2 is a sibling element.
  • ledger_index - Ledger index (only set on validated ledgers)
  • ledger_hash - Ledger hash (only set on closed or validated ledgers)
  • close_time_iso - Ledger close time expressed in ISO 8601 time format (only set on validated ledgers)
  • validated - Bool element set to true if the transaction is in a validated ledger, otherwise false

This change affects the following methods:

  • tx - Transaction data moved into element tx_json (was inline inside result) or, if binary output was requested, moved from tx to tx_blob. Renamed binary transaction metadata element (if it was requested) from meta to meta_blob. Changed location of hash and added new elements
  • account_tx - Renamed transaction element from tx to tx_json. Renamed binary transaction metadata element (if it was requested) from meta to meta_blob. Changed location of hash and added new elements
  • transaction_entry - Renamed transaction metadata element from metadata to meta. Changed location of hash and added new elements
  • subscribe - Renamed transaction element from transaction to tx_json. Changed location of hash and added new elements
  • sign, sign_for, submit and submit_multisigned - Changed location of hash element.

Modification to Payment transaction JSON schema

When reading Payments, the Amount field should generally not be used. Instead, use delivered_amount to see the amount that the Payment delivered. To clarify its meaning, the Amount field is being renamed to DeliverMax. (#4733)

  • In Payment transaction type, JSON RPC field Amount is renamed to DeliverMax. To enable smooth client transition, Amount is still handled, as described below: (#4733)
    • On JSON RPC input (e.g. submit_multisigned etc. methods), Amount is recognized as an alias to DeliverMax for both API version 1 and version 2 clients.
    • On JSON RPC input, submitting both Amount and DeliverMax fields is allowed only if they are identical; otherwise such input is rejected with rpcINVALID_PARAMS error.
    • On JSON RPC output (e.g. subscribe, account_tx etc. methods), DeliverMax is present in both API version 1 and version 2.
    • On JSON RPC output, Amount is only present in API version 1 and not in version 2.

Modifications to account_info response

  • signer_lists is returned in the root of the response. In API version 1, it was nested under account_data. (#3770)
  • When using an invalid signer_lists value, the API now returns an "invalidParams" error. (#4585)
    • (signer_lists must be a boolean. In API version 1, strings were accepted and may return a normal response - i.e. as if signer_lists were true.)

Modifications to account_tx response

  • Using ledger_index_min, ledger_index_max, and ledger_index returns invalidParams because if you use ledger_index_min or ledger_index_max, then it does not make sense to also specify ledger_index. In API version 1, no error was returned. (#4571)
    • The same applies for ledger_index_min, ledger_index_max, and ledger_hash. (#4545 (comment))
  • Using a ledger_index_min or ledger_index_max beyond the range of ledgers that the server has:
    • returns lgrIdxMalformed in API version 2. Previously, in API version 1, no error was returned. (#4288)
  • Attempting to use a non-boolean value (such as a string) for the binary or forward parameters returns invalidParams (rpcINVALID_PARAMS). Previously, in API version 1, no error was returned. (#4620)

Modifications to noripple_check response

  • Attempting to use a non-boolean value (such as a string) for the transactions parameter returns invalidParams (rpcINVALID_PARAMS). Previously, in API version 1, no error was returned. (#4620)

Unit tests for API changes

The following information is useful to developers contributing to this project:

The purpose of unit tests is to catch bugs and prevent regressions. In general, it often makes sense to create a test function when there is a breaking change to the API. For APIs that have changed in a new API version, the tests should be modified so that both the prior version and the new version are properly tested.

To take one example: for account_info version 1, WebSocket and JSON-RPC behavior should be tested. The latest API version, i.e. API version 2, should be tested over WebSocket, JSON-RPC, and command line.