Hi all
1. I was wondering how you organise your execution data in Excel, eg if trading with Interactive Brokers. Do you run a query on Interactive Brokers, save the execution data as an Excel file, then organise with Excel's Power Query/Get Data functionality?
2. A related question: Assuming you run several trading systems at your broker, how do you separate all the execution data, just using the Order Ref when you place an order at IB?
Regards
Rod
1. I was wondering how you organise your execution data in Excel, eg if trading with Interactive Brokers. Do you run a query on Interactive Brokers, save the execution data as an Excel file, then organise with Excel's Power Query/Get Data functionality?
2. A related question: Assuming you run several trading systems at your broker, how do you separate all the execution data, just using the Order Ref when you place an order at IB?
Regards
Rod