The importer brings trades in from a CSV or Excel file and groups them into a session. You map your file's columns to MYTH's fields, fix any issues in the preview, then import.
Steps
1. Upload your CSV or Excel file and set the session details (name, market, date range).
2. Map required columns — at minimum Date, Market, Side, and Result — to the matching fields in your file.
3. Resolve value mapping where MYTH doesn't recognize a value (for example mapping B and S to Buy and Sell).
4. Check the validation preview and fix any flagged rows.
5. Run the import and open the created session.
Before you start
One row per trade
Use a consistent date format in the file
Keep market codes consistent so they map cleanly
Limits
The trades-per-file and number-of-imports limits depend on your plan. See the plan limits article.
If the preview shows errors, see "How do I fix import validation errors before final import?"