This removes logic from an inner helper method so that it becomes more clear
from callsites within each test exactly which behavior is expected from those
test conditions.
We now pin to postgreSQL v17 when running tests, which means that minor
version might increase without our intervention. This causes (at least)
the comment in the golden schema to change, and failing the test as a
result.
This PR adds the ability to strip lines that we deem as comment from the
comparison, so we don't have to do trivial upgrades to the gold schema
whenever there's minor version upgrade.
This allows us to easily tell which tag was deployed.
Also set the gateway to use named address so they are stable, and so
that we can attach an IPv6 record to it. Auto-provisioned addresses are
IPv4 only.
Failed pg_dump may not leave a file, failing the subsequent diffing and
causing the verifier to return success.
The verifier should abort in this case.
GKE logs are routed to a different dataset and the table is different.
The structs to look for are also different (jsonPayload vs textPayload
or protoPayload).
TESTED=Ran the resulting query in crash.
I obtained access to an IBM s390x VM so I thought I'd see how multi-arch
Nomulus is.
Our main application is in Java so it is already multi-arch, but several
tests use docker images that are by default x64. Luckily postgres has an
s390x port, but selenium does not. So I had to disable Screenshot tests
when the arch is not amd64.
This isn't a situation we'll encounter often, but if the client has an
allocation token that's valid for premium domains that gives a 0 cost,
we shouldn't require them to include the fee extension when creating the
domain. We already don't require it for standard domains.
We use this now for the DomainDeleteFlow in an attempt to figure out
what statements it's running (cross-referencing that with PSQL's own
statement logging to find slow statements).
This is kinda nonsensical because this use case is trying to apply a
single use token multiple times in the same domain:check request --
like, trying to use a single-use token for both create, renew, and
transfer while having a $0 create price and a premium renewal price.
This change doesn't affect any actual business / costs, since SPECIFIED
token renewal prices were already set on the BillingRecurrence
Instead of using a separate RenewalPriceInfo object, just map the
behavior (if it exists) onto the BillingRecurrence with a special
carve-out, as always, for anchor tenants (note: this shouldn't matter
much since anchor tenants *should* use NONPREMIUM renewal tokens anyway,
but just in case, double-check).
This also fixes DomainPricingLogic to treat a multiyear create as a
one-year-create + n-minus-1-year-renewal for cases where either the
creation or the renewal (or both) are nonpremium.