When exporting trades CSV file, trading days gets mixed up.
ie: I can have 2 trade from 06/13/2024 on the top, then other days in-between, then ending up with the rest of the trades from 06/13/2024.
Would be better if they where sorted by 'exit' time, the datetime where the P&L is realized.
Off course user can sort the trade by themself, but exporting them in a sorted fashion would be save everyone some clicks.
Thanks for the great product.
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In Review
π‘ Feature Request
Platform
Almost 2 years ago

Pascal Lapointe
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In Review
π‘ Feature Request
Platform
Almost 2 years ago

Pascal Lapointe
Get notified by email when there are changes.