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Houston TX
Legendary Market Wizard
Experience: Advanced
Platform: TT Stellar & Tradestation
Broker: Primarily Advantage Futures
Trading: Primarily Energy but also a little Equities, Fixed Income, Metals, U308 and Crypto.
Frequency: Many times daily
Duration: Never
Posts: 5,241 since Dec 2013
Thanks Given: 4,586
Thanks Received: 10,532
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I don't use it for a journal but I do use it track positions and PnL.
My trading software is TTs XTrader which generates .mdb audit trails. The audit trail includes every message/order/fill sent to or received back from the exchange. On a daily basis I load the audit trails into an MS Access database. I then have queries that calculate message/fill ratio's etc. I also have a make table query that filters out all the fills and creates a daily fill table that is saved in the database. Every evening I upload a settlements file into the database which when applied to the combined fill tables gives me me PnL numbers which I then compare to my brokerage statement. I also have a lot of additional reports that allow me to drill down and see PnL, Volume etc by Strategy, Commodity, Month, Time of Day, etc etc. I also have queries that generate reports that I can export for directly uploading into CME's & ICE's SPAN systems.
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