01
Which pairs and times explain the result?
Compare returned symbols and entry times, while checking whether timestamps are UTC or localized for the intended session.
Forex trading analytics
Use an eligible MT4 or MT5 investor-password workflow or a supported file import, then verify the returned accounts, dates, trades, and P&L before reviewing sessions, symbols, risk, and drawdown.
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Direct answer
Forex trading analytics can compare imported account history by symbol, direction, time, duration, and account when those fields are returned. Provider coverage, broker history, timezone handling, and costs must be reconciled before the comparison is treated as evidence.
Best fit: Forex and CFD traders with eligible MT4/MT5 history who want account-level performance and risk review without granting trade or withdrawal permission.
Questions this workflow can answer
01
Compare returned symbols and entry times, while checking whether timestamps are UTC or localized for the intended session.
02
Keep account context separate and inspect the sequence of closed records instead of merging unlike histories.
03
Verify commissions, swaps, fees, partial closes, date range, and realized P&L against the broker statement.
Evidence used
Source and interpretation limits
The shared review loop
These steps connect every TradeInsights analytics workflow. The market, account, or review question changes; the requirement for source-aware evidence does not.
1
Confirm source, account, date range, fields, counts, and realized totals.
2
Read the method, eligible sample, coverage label, evidence, and limitations.
3
Decide whether the historical evidence supports a measurable process change.
4
Compare subsequent activity with the rule without treating history as a prediction.
Questions / answers
TradeInsights offers eligible MT4/MT5 connection workflows and supported file import. Availability, history depth, fields, and refresh timing depend on the broker, provider, region, and selected workflow.
Use the minimum-permission or investor-password workflow specified by the connection screen. TradeInsights does not need trade or withdrawal authority to analyze returned history.
Common causes include date range, timezone, commission, swap, partial-close, symbol, currency-conversion, or provider-history differences. Reconcile these fields before interpreting analytics.
Import supported data, inspect one evidence-backed finding, create a rule, and monitor the next sample.
Explore PremiumTradeInsights provides analytics and journaling tools, not investment advice, trade execution, prop-firm affiliation, or a guarantee of future results.