Import your broker or tracker into Quantic

Quantic reads a file you export yourself — never your broker login. Some brokers have a reader of their own; for every other one you tell Quantic what the columns mean, once.

Pick your broker — or the tracker you are leaving. Each page is honest about what its export can and can't carry, so you know before you sign up.

Read on sight

Quantic recognises these exports by their shape. Upload the file and it imports — there is no mapping step.

Read by mapping the columns once

No parser is written for these. Quantic shows you the columns it found, with a couple of your own rows under each, and you say what they mean — once per export.

Not listed? It still works.

There is no parser per broker. Export any CSV or XLSX of your trades or dividends, and Quantic asks what each column means — date, ticker or ISIN, quantity, price, fee. It infers the date and decimal format from your own rows, reads buys and sells from the sign of the quantity, and remembers the mapping so the next statement is one click.