aboutsummaryrefslogtreecommitdiff
path: root/src
diff options
context:
space:
mode:
Diffstat (limited to 'src')
-rw-r--r--src/auditordb/plugin_auditordb_postgres.c24
1 files changed, 12 insertions, 12 deletions
diff --git a/src/auditordb/plugin_auditordb_postgres.c b/src/auditordb/plugin_auditordb_postgres.c
index 290af9dbc..3746fe6c2 100644
--- a/src/auditordb/plugin_auditordb_postgres.c
+++ b/src/auditordb/plugin_auditordb_postgres.c
@@ -239,7 +239,7 @@ postgres_create_tables (void *cls)
/* Table with all of the denomination keys that the auditor
is aware of. */
SQLEXEC ("CREATE TABLE IF NOT EXISTS auditor_denominations"
- "(denom_pub BYTEA PRIMARY KEY"
+ "(denom_pub_hash BYTEA PRIMARY KEY CHECK (LENGTH(denom_pub_hash)=64)"
",master_pub BYTEA NOT NULL CHECK (LENGTH(master_pub)=32)"
",valid_from INT8 NOT NULL"
",expire_withdraw INT8 NOT NULL"
@@ -302,7 +302,7 @@ postgres_create_tables (void *cls)
of; "refund_serial_id" tells us the last entry in "refunds"
for this denom_pub that the auditor is aware of. */
SQLEXEC ("CREATE TABLE IF NOT EXISTS denomination_pending"
- "(denom_pub BYTEA NOT NULL REFERENCES denominations (denom_pub) ON DELETE CASCADE"
+ "(denom_pub_hash BYTEA NOT NULL REFERENCES denominations (denom_pub_hash) ON DELETE CASCADE"
",denom_balance_val INT8 NOT NULL"
",denom_balance_frac INT4 NOT NULL"
",denom_balance_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL"
@@ -319,7 +319,7 @@ postgres_create_tables (void *cls)
",last_melt_serial_id INT8 NOT NULL"
",last_refund INT8 NOT NULL"
")");
-
+
/* Table with the sum of the outstanding coins from
"denomination_pending" (denom_pubs must belong
to the respective's exchange's master public key);
@@ -346,7 +346,7 @@ postgres_create_tables (void *cls)
(and all of the deposits so far were done by
the successful attacker). So this is strictly an
upper bound on the risk exposure of the exchange.
- (Note that this risk is in addition to the known
+ (Note that this risk is in addition to the known
total_liabilities) */
SQLEXEC ("CREATE TABLE IF NOT EXISTS total_risk"
"(master_pub BYTEA NOT NULL CHECK (LENGTH(master_pub)=32)"
@@ -355,20 +355,20 @@ postgres_create_tables (void *cls)
",risk_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL"
")");
-
+
/* Table with historic profits; basically, when a denom_pub
is expired and everything associated with it is garbage
collected, the final profits end up in here; note that
the "denom_pub" here is not a foreign key, we just keep
it as a reference point. "revenue_balance" is the sum
of all of the profits we made on the coin except for
- withdraw fees (which are in historic_reserve_revenue);
+ withdraw fees (which are in historic_reserve_revenue);
the deposit and melt fees are given individually; the
delta to the revenue_balance is from coins that were withdrawn
but never deposited prior to expiration. */
SQLEXEC ("CREATE TABLE IF NOT EXISTS historic_denomination_revenue"
"(master_pub BYTEA NOT NULL CHECK (LENGTH(master_pub)=32)"
- ",denom_pub BYTEA NOT NULL"
+ ",denom_pub_hash BYTEA NOT NULL CHECK (LENGTH(denom_pub_hash)=64)"
",revenue_timestamp INT8 NOT NULL"
",revenue_balance_val INT8 NOT NULL"
",revenue_balance_frac INT4 NOT NULL"
@@ -381,19 +381,19 @@ postgres_create_tables (void *cls)
",melt_fee_balance_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL" ")");
/* Table with historic losses; basically, when we need to
- invalidate a denom_pub because the denom_priv was
+ invalidate a denom_pub because the denom_priv was
compromised, we incur a loss. These losses are totaled
up here. (NOTE: the 'bankrupcy' protocol is not yet
implemented, so right now this table is not used.) */
SQLEXEC ("CREATE TABLE IF NOT EXISTS historic_losses"
"(master_pub BYTEA NOT NULL CHECK (LENGTH(master_pub)=32)"
- ",denom_pub BYTEA NOT NULL"
+ ",denom_pub_hash BYTEA NOT NULL CHECK (LENGTH(denom_pub_hash)=64)"
",loss_timestamp INT8 NOT NULL"
",loss_balance_val INT8 NOT NULL"
",loss_balance_frac INT4 NOT NULL"
",loss_balance_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL"
")");
-
+
/* Table with historic profits by reserve; basically, when a
reserve expires, we transmit the balance back to the user, but
rounding gains and withdraw fees are listed here. */
@@ -417,7 +417,7 @@ postgres_create_tables (void *cls)
",reserve_profits_frac INT4 NOT NULL"
",reserve_profits_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL"
")");
-
+
/* Table with historic business ledger; basically, when the exchange
operator decides to use operating costs for anything but wire
transfers to merchants, it goes in here. This happens when the
@@ -444,7 +444,7 @@ postgres_create_tables (void *cls)
",balance_curr VARCHAR("TALER_CURRENCY_LEN_STR") NOT NULL"
")");
-
+
SQLEXEC_INDEX("CREATE INDEX testx "
"ON test(test_pub)");
#undef SQLEXEC