A trading journal filled with sample trades. Average entry, realized P&L and closing balance are computed, not typed.
The journal groups scaled entries and exits into a single position. Orders filled in several pieces are averaged into one entry price, and on close the realized P&L and fees are applied so you see what the trade actually made.
You do not have to copy anything over by hand. Broker and exchange CSVs are de-duplicated on import, and MEXC, Bybit and Bitget fill in new fills automatically once an API key is registered. Notes and photos attached to a trade become the evidence next time you repeat the same mistake.