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Separated Wallet Data

We recommend you separate the data for the Wallets imports, so you are able to view the single balances for each job on the "Balance by Exchange" page and to in/exclude it in different analyses and reports tools.

This can be achieved by setting a label for the Wallet import in the API job settings. After saving it, you can now import it separated for various views

You can use the "Grouped by Trade-Group" setting on the "Balance by Exchange" page and filters on different pages to sort the display according to group.

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