Add CSV Export to all tabs in Positions Screen
planned
DK (Drew) Premia
Please add the relevant export to Positions Tabs Options and Yield.
Relevant Fields needed for Tax are:
Asset
Type
Size
Strike
Premiums Paid
USD Premiums Paid
Asset PnL
USD PnL / USD Exercise Value
Purchase Date
Expiration Date
Settlement Date
USD Value at Purchase
USD Value at Maturity (closed)
Unfortunately the export below does not have all the relevant fields.
DK (Drew) Premia
planned
b
btub
At the very least, what will be needed is for each TX:
if it's an option purchase:
- amount paid
- the type of currency used for payment
and if it's an option exercise:
- the amount of the option exercised and
- how much money was returned for it
while it can, and should, get much more granular, it would be a great start bc it allows imports as if it's a trade and so gains/losses would be possible to track. Currently the "options" tab gets very close to this, however the exercise value is never show, just the amount the option was for (i.e. a call option on 5 eth). Needs the inputs & outputs to track PnL / cost basis. An open question would be how to handle the TXs where the 'cost' utilized the swap & buy feature (using eth to pay for a put that requires dai, should the cost be the eth used or the dai?)