Crypto trading analytics

Analyze the exchange history that was actually returned.

Bring eligible crypto activity into one review workflow, then reconcile venue, account, product, symbol, fees, funding, timestamps, and history depth before drawing a conclusion.

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Direct answer

Crypto trading analytics can organize supported spot or derivative records into historical P&L, product, symbol, direction, timing, fee, funding, and risk views when those fields are returned. Coverage varies by exchange, permission, region, product, and import method.

Best fit: Crypto traders using an available exchange connection or supported export who need a source-aware review instead of an aggregate wallet-value chart.

Questions this workflow can answer

Start with a review question, then inspect the supporting sample.

01

Which venue, product, or symbol drove the result?

Preserve account and product context so unlike spot, margin, futures, and derivatives records are not silently treated as identical.

02

How much did costs affect the sample?

Review fees and funding only when those fields are returned and reconcile them with the exchange statement.

03

Is the imported history complete?

Check date range, pagination, subaccounts, product coverage, transfers, settlement currency, and closed-position representation.

Evidence used

Useful analysis starts with reconciled context.

  • Minimum-permission connections for selected exchanges or supported file import.
  • Available realized P&L, fee, funding, product, risk, and drawdown fields.
  • Comparisons by returned symbol, direction, duration, time, and account.
  • Optional AI-assisted review grounded in eligible imported records.

Source and interpretation limits

Know what the data cannot prove.

  • Exchange APIs can return different fields and history windows by region, product, permission, and account type.
  • Wallet transfers do not by themselves establish a closed trade or realized trading outcome.
  • TradeInsights does not place orders or request withdrawal permission.
Read the qualifying-data, calculation, and finding methodology →

The shared review loop

Import. Inspect. Create a rule. Monitor.

These steps connect every TradeInsights analytics workflow. The market, account, or review question changes; the requirement for source-aware evidence does not.

  1. 1

    Import and reconcile

    Confirm source, account, date range, fields, counts, and realized totals.

  2. 2

    Inspect one finding

    Read the method, eligible sample, coverage label, evidence, and limitations.

  3. 3

    Create an explicit rule

    Decide whether the historical evidence supports a measurable process change.

  4. 4

    Monitor the next sample

    Compare subsequent activity with the rule without treating history as a prediction.

Questions / answers

Crypto Trading Analytics & Journal, clearly explained.

Which crypto exchanges does TradeInsights support?

TradeInsights provides selected exchange workflows and supported file imports. Current availability and returned fields depend on provider, region, product, account type, and permission.

Can TradeInsights analyze wallet transactions as trades?

A transfer is not automatically a closed trade. The analytics workflow requires eligible trading records and the fields needed to calculate a realized outcome.

Should an exchange API key have withdrawal permission?

No. Use the minimum permissions stated in the connection workflow. Analytics does not require withdrawal authority.

Make your trade history reviewable.

Import supported data, inspect one evidence-backed finding, create a rule, and monitor the next sample.

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TradeInsights provides analytics and journaling tools, not investment advice, trade execution, prop-firm affiliation, or a guarantee of future results.