I get ya now. A while a go there where two spreadsheets being shared.
I had quite a cmplicated one that is now much simpler.
Stock name, start trade date, buy date, start sell date, sell date and the usual buy/sell price, volume
and then associated costs, eg tax, trade cost and a small cost for running the business for each trade.
This is just is an idea of what is occurring and then check against final ledger report from broker to see what is the go