Some buy operations are recognized as sell and fail to import from XTB report (updated with solution)

Hi, I’ve found a problem with XTB import and I think I have a solution.

When importing transactions from XTB report, I had some warnings that sell operations “Zakup akcji/ETF” are not supported. I think the problem occurs because of subsequent rows lookup that doesn’t check if they’re the same type.

Ensuring it’s the same type in preset editor seems to help.

I think these “Typ” conditions should be added to both buy and sell lookups in XTB import preset.

Thanks, didn’t think two different operations could be on the same timestamp. I’ve fixed it differently, as this way all Fees will be accounted only to the first transction.

It’ll be available in the next version (1.46.7) - let me know if it works for you.

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