ENHANCEMENTS
Advertising
- Initial Max CPC has been added as a default column in the Strategies, Campaigns, Ad Groups, and Targets grids. Use this as reference for the Strategy starting bid. 
- Support for product targets has been added to the bulk add targets template in the Search Terms tab. 
Orders
- Introducing a new submodule: Subscribe & Save. A submodule has been added to house weekly Subscribe & Save data by item. 
Content
- A setting has been added to event stakes that allows you to ignore outlier days for inventory demand; this will impact the suggested restock calculations when using weighted demand settings. Consider using these for Event Days to mitigate their effect on demand. 
Accounting
- The comparison table in Accounting can now be exported to Excel. 
- Two transaction groups in the P&L have been updated to better reflect the types of fees they encompass. FBA Fees is now FBA Fulfillment Fees, and FBA Inventory Fees is now FBA Replenishment Fees. As a result, a few transaction types have been moved around between the two. 
Analytics
- Net Profit has been added as a metric option in the Goals submodule. 
- Performance chart now has an option to be exported as an image in the following formats: JPG, PNG, SVG, or PDF. The export will show any selected metrics as well as event stakes for the selected time period. 
- Various text and formatting improvements were made to the summary tab of the restock report 
Global Features
- Metrics in the dashboard settings have been alphabetized for easier navigation and selection 
BUG FIXES
- The popover for Other Revenue Details in the SKUs with Negative Net Margin opportunity grid was not properly converting for the chosen preferred currency 
- Preferred currency conversion was not properly applying to the Goal value in the Sales Metrics overview 
- Detail page charts for vendor items were not allowing users to see the view history of available data 
- Lost Sales report was not following the same logic as Analytics for determining number of orders 
- Some duplicate lines from Amazon were coming through the FBA Shipments Need Reconciliation opportunity grid, causing the quantities shipped/received to appear much larger than they were 
- Some duplicate lines from Amazon were coming through for product returns 
- Restock Units in the Restock Report were not evening out for case pack quantities 
- TOS Impression Share was missing from the Targets tab export when it was part of a column filter 
- Total Orders metric chip on dashboards was sometimes showing a larger number of total orders than total units due to a time zone issue 





