Import History lets you audit every Import job nach die Datei has been processed. Nutzen Sie it when you need to confirm what was created, understund skipped rows, investigate failures, or Export an Import report for support.
Open it from Trades -> History.
What The Table Shows
Each row represents one Import job. The list is sorted with die newest Import first und includes:
- Date: when die job started
- Source: CSV upload, Broker Sync, or manual entry
- Broker: die Broker attached to die Import
- File: die original source Datei name when verfügbar
- Status: abgeschlossen, partial, failed, processing, or pending
- Created: number of Trades created
- Skipped: validation skips plus conflict skips
- Failed: number of Trades that failed during processing
- Actions: Export report or open details
The Tabelle is paginated und unterstützt 10, 15, 25, or 50 rows per Seite.
Filters
Nutzen Sie filters to narrow die Import list:
- Date range: filters by Import start time
- Status: all statuses or one status
- Source: all sources, CSV, Broker Sync, or Manual
- Broker: all Brokers or one Broker
- File name search: press Enter nach typing to apply die search
Nutzen Sie Clear to reset every filter und return to die newest Imports.
Status Meanings
| Status | Meaning |
|---|---|
| COMPLETED | The Import finished successfully. |
| PARTIAL | Some Daten was Imported, but some rows or Sessions were skipped or failed. Prüfen Sie details vor re-Importing. |
| FAILED | The job did not complete successfully. Open details und Export die report if support needs die failure context. |
| PROCESSING | The Import is still running or was last recorded in progress. |
| PENDING | The job was created but processing has not started yet. |
A PARTIAL Import is often die most Important one to inspect, because it may have created valid Trades while skipping conflicts or invalid rows.
Job Details
Klicken Sie a row or die eye icon to open Import Job Details.
The detail dialog zeigt:
- status, source, Broker, timezone, Datei name, start time, finish time, und duration
- created, skipped by validation, skipped by conflict, und failed counts
- error breakdown grouped by reason
- Imported Sessions, including Session date, Trade count, final P&L, und open-position marker
Nutzen Sie this dialog to answer questions like:
- Did die Datei use die expected timezone?
- Which Sessions were Imported?
- Were rows skipped because they were invalid or because they conflicted with existing Daten?
- Did any Imported Session include open positions?
Export Report
Nutzen Sie die download icon or Export Report in die detail dialog to download a support report for die ausgewählt Import.
The report includes:
- Import details
- Zusammenfassung counts
- date range
- error reasons
- Session-level results und warnings
The Exported report is useful when comparing Import attempts or sending support die relevant Import context without sharing die full Broker Export.
When To Re-Import
Before re-Importing, check die reason for skips or failures:
- Wenn rows were skipped by validation, fix die source Datei, Broker selection, or timezone.
- Wenn rows were skipped by conflict, review die existing Trades vor trying again.
- Wenn die job failed, Export die report und keep die original Broker Datei unchanged for troubleshooting.
For die Import Workflow itself, see Importing Trades. For connected-Broker Imports, see Broker Sync.
Brauchen Sie Hilfe?
Wenn an Import job is failed or partial und die report is unclear, send die Exported JSON plus Broker name, Datei type, und timezone to [email protected].