So, fidelity offers downloadable CSV data for transactions but you have different rows for buy , sell in that extract. So, I don't currently track PnL per trade but only overall since you simply add up the column to get your overall values. That is obviously a poor way of doing things but I don't know enough Excel to associate a buy vs sell in this context as it looks like it would involve some scripting to find the associated buy for any sell transaction.
I would like something that gives me PnL per trade so I can monitor progress at a finer granularity.
I would like something that gives me PnL per trade so I can monitor progress at a finer granularity.
