To do so, go to the Analytics section, it can be found in your exchange dashboard.

Once there, you should select the name of the service you would like to review in detail.

Immediately, you will get a data display where you will find the following:

  • Initial Allocated Balance, your initial investment in the service.

  • Current Allocated Balance, your current investment in this service.

  • Retain

  • High-Water Mark

  • All the Accounting related. Profits and Losses (PnL), Success Fees paid, Deposits and Withdrawals.

This way it will be easier for you to comprehend the results of each service and its accounting.

💡 Please note that when a liquidation has taken place, your funds will be used as margin, and in this section it will be labelled as a 'withdrawal' or 'liquidation'.

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