Coming from OptionNet Explorer
You do not start from an empty journal. Import your ONE Detail Report once and Performance shows your closed-trade record immediately (Performance). After the import, Tented lists the entries you repeat in each account and offers them first on new trades there (Setups).
- In OptionNet Explorer, open Reports → Detail Report, set the grouping to Account, and export it as CSV.
- In Tented, open Title bar → Journal → Fills → Add → Import from OptionNET Explorer. The setup wizard’s Trade history step has the same import.
- Drop the CSV on the drop zone, or click choose a file.
- Review. Trades are grouped by ONE account. Filter them with All, Open, Closed, Already imported and Needs a look, and untick any you do not want. Rows the importer could not read are listed and skipped.
- For each ONE account, choose Import into: New account or one you already have. For a new account, Trades through (shown when Tented is connected to Interactive Brokers) sets the linked IB account that routes its orders, or No broker for a journal-only account.
- Click Import n trades. The result shows the trades imported per account.
- Trading setups found in your history lists the entries each account repeats. Don’t suggest stops one from being offered; the button then reads Not suggested, and clicking it again brings the setup back.
More on corrections and deleting: Import trades and Journal.
ONE terms in Tented
Section titled “ONE terms in Tented”| You know | In Tented | Where |
|---|---|---|
| ONE Detail Report (CSV) | Trade history import | Journal → Add → Import from OptionNET Explorer |
| ONE account | A Tented account; Trades through links it to an IB account | Settings → Accounts |
| ONE trade with its adjustments | A trade with actions: Entry, Adjustment, Close | Trades, and Journal → Fills |
| ONE risk graph | Risk graph, with Max P, Max L, PoP and projection lines | Workspaces, Trades page |
What works differently
Section titled “What works differently”- Orders go to Interactive Brokers. The journal is yours and a fill from IB is recorded on a trade only after you confirm it on the Fill detected card.
- Scenarios are not orders. Everything you model stays in the builder until you click Commit.
- Pricing is its own. Tented prices options with its own model, so the risk graph can differ from your broker’s. See How Tented prices options.
- One journal across computers. Your history can live in Tented Cloud (Sync).
If the import fails, see The ONE file could not be read and Imported trade times look off.