Resolve missing, delayed, duplicated or incorrect trade data.
Find trades that did not appear after broker sync or CSV import.
Export trade history from your broker and upload it to Trade Optic.
Required and recommended columns for successful trade imports.
Prevent and remove duplicate entries from repeated syncs or imports.
Add trades by hand when automatic import is unavailable or incomplete.
Update trade details, notes and journal fields after import.
Remove incorrect or duplicate trades from your records.
Limits on historical trade data from brokers and CSV imports.
Fix timezone mismatches between your broker, account settings and journal.
Understand import errors and fix rows that did not import.
Choose the right method for getting trades into Trade Optic.
Manually trigger a broker trade sync from Broker Connections.
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