Getting started
Use Data Decisions only when TraderLink needs a factual answer from your broker statement before it can settle an affected trade chain.
Open Trade TrackerIn this guide
Why a decision appears
A source row, execution or position fact can need review when the available evidence conflicts or is incomplete.
Data Decisions does not ask you to judge a trade. It asks a focused factual question, such as whether two fills are the same execution, which value is correct, or whether a position remains open.
Valid trades stay available
A question about one chain does not hide unrelated accepted trades. TradersLink keeps the uncertain item separate instead of guessing a result.
Before you start
Use the broker statement or reliable broker record that supports the answer.
- Read the question and the shown statement details before choosing an action.
- Use the broker-shown date, time, ticker, side, quantity, price and fees when correcting a fill.
- Choose only the option supported by the source. Do not change a value simply to make a trade total look right.
- Save one decision at a time, then review the updated page state.