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Integrations

HOW TRADE IMPORTS FIT YOUR WORKFLOW.

HOW TRADE IMPORTS FIT YOUR WORKFLOW.

Stonk Journal currently documents file-based trade import. Broker-specific pages will only appear after each export workflow and limitation has been tested.

CURRENT INTEGRATION MODEL

StonkJournal currently supports file-based trade import rather than live broker synchronization. That means you export a file from your broker, upload it to StonkJournal, review the mapping, and confirm the resulting trades before they are added to the journal.

PREPARE THE SOURCE FILE

Keep an untouched copy of the broker export. Confirm that dates, time zones, symbols, quantities, prices, fees, option contract details, and account identifiers are present before importing. Avoid manually rewriting the original file unless the import workflow specifically requires it.

MAP AND VALIDATE

Match each source column to the requested StonkJournal field, select the correct destination account, and review duplicates or rejected rows before confirming. For options and futures, verify contract multipliers and multi-leg relationships so P&L and hold-time calculations use the intended trade structure.

BROKER-SPECIFIC SUPPORT

Broker-specific integration pages will be published only after the export format and its limitations have been tested. Until then, the Trade Import page documents the verified workflow and current plan availability. Contact info@stonkjournal.com with a non-sensitive sample format or import question—never send credentials, API keys, or access tokens.

STONK JOURNAL

Not financial advice. Past performance is not indicative of future snacks. Built by traders who lost money first.