How to export your trades from Lynx
To export your trades from Lynx:
- Sign in to the Client Portal.
- Go to the “Reports” tab.
- Click on the “Flex Queries” tab.
- In the “Trade Confirmation Flex Query” section, click on the “+” (plus) sign to create a new query.
- Fill in a name of the query. It can be anything, e.g. “Trades.”
- Click on the “Trade Confirmation” button in the “Sections” section.
- Check “Select all” and save the settings by clicking on “Save” button at the bottom of the modal.
- Click on the “Continue” button at the bottom of the page.
- Click on the “Create” button on the next page and then “OK”.
- Now, click on the right arrow next to the new query to export it.
- Select your desired period, e.g. last 365 calendar days, and click on “Run” to export the trades.
- It allows you to export only one year at a time so if your portfolio is older, you will have to run the export for each year (with custom date range) separately.