Account asset value recorded at 24:00 (UTC+8) daily. If there are no asset changes within the last 10 days, today's value will not be included in the statistics or displayed on the chart.
Unit:
No data
Daily PnL
Daily PnL = Account's net asset value (NAV) at 24:00 - NAV at 00:00 - net deposits - net transfer-ins - profits generated from Bonuses (UTC+8)
1. The statistics are based on UTC+8 time and are maintained from 00:00 to 02:00. During the maintenance, there might be an error in displayed statistics. Please check them after the maintenance is completed.
2. The PnL data has deducted the transaction cost including trading fees, funding fees, forced liquidation costs, etc., and doesn't include profits generated from Bonuses.
3. The PnL analysis at the account level includes PnL and fees generated from trading, and unrealized PnL incurred from exchange rate fluctuations of held assets, which are converted to USDT for account PnL analysis.
4. Due to data complexity and exchange rate fluctuations, there may be calculation errors or delays. The data is for reference only. Thank you for your understanding.