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Knowledge Base
Feature Guide

Trade Table

The trade table is the detailed record view for all your executions. Inspect grouped trades, edit notes and media, apply filters, and manage your trade history.

Opening the trade table

Navigate to Trades from the dashboard sidebar or use the command palette (Ctrl/Cmd + K) and search for "Trades".

Table layout

The trade table displays trades in a sortable, filterable virtual table. Columns include:

  • Date/Time - When the trade was executed
  • Instrument - Symbol or instrument name
  • Direction - Long or Short
  • Quantity - Number of units/contracts
  • Entry Price - Open price
  • Exit Price - Close price
  • P&L - Realised profit or loss
  • Tags - Assigned tags and models
  • Notes - Trade notes indicator
  • Screenshots - Image attachment indicator

Filtering and sorting

The trade table respects the active dashboard filters by default, but you can also:

  • Sort any column by clicking the header
  • Use the table-specific filter bar to narrow by instrument, direction, date range, tags, or models
  • Search for specific trades using the search box

Editing trades

Click any trade row to open the edit panel. From there you can:

  • Modify entry and exit details
  • Add or edit notes
  • Upload or change screenshots
  • Assign or remove tags and models
  • Change the account association
  • Delete the trade record

Changes save immediately. The edit panel preserves visible form state during saves so images and notes don't disappear during updates.

Trade counts explained

Across JJI, UI labels showing Trades use grouped execution counts rather than raw imported rows. If a single order fills across multiple partial fills, it counts as one trade. Raw imported rows are available in the table detail view.