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Date/Time: Mon, 12 Jan 2026 23:06:35 +0000



Post From: Trade Activity Log - Open Positions Problem

[2025-12-10 12:26:43]
user_xyz - Posts: 509
I might have accidentally discovered how this happened which leads to my next question.


- Sub 5 (non-sim) is where I keep my 'master' TAL for record keeping and tracking.
- Main (sim) is where I view all the trade executions.

This morning I exported some trades from Sub 5 to Main to reconcile/balance the accounts, after a new 20 lot position opened like before.

This makes sense now as the Main instance just got non-sim trades it wasn't aware of previously.

Question: I don't see in the export columns a sim/non-sim designation, how can I change this?