Describe the problem:
I’ve tagged the deposit and the withdrawal of collateral (opening and closing the CDP) (ETH deposit and DAI withdrawal) as to_pool and from_pool respectively however because they are different currencies the system thinks I’ve still got the ETH in the pool and I generated the DAI out of nowhere with a cost basis of 0.
How can I fix this and properly associate the withdrawal with the deposit even though they’re in two different currencies.
Should I just leave it as is? If I don’t tag them as to and from pool then it gives me a number that seems roughly correct.
Which exchange/wallet is this regarding?
ETH - defisaver - Makerdao CDP
How did you import data into this wallet?
Sync
What have you tried to fix this so far?
