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Date/Time: Sat, 28 Feb 2026 00:16:25 +0000



Post From: Trade Activity Log - Open Positions Problem

[2025-12-11 18:12:05]
user_xyz - Posts: 509
Actually exporting the trades from TAL in Sub 5. Everything you mentioned in #13 is correct.

The issue is when I need to reconcile because a trade doesn't match up for one reason or another. Sub 5 I perform all my trading from and use as the master TAL for records/tracking. Often I need to delete or change trades in the Main instance and exporting from Sub 5 is the easiest, I just need them to match the 'simulated' state of the Main instance.