I have two strategies defined. One will enter with two bundles of contracts, one scalp position the other swing position.
The other strategy will enter with purely scalps.
So here are some example entries.
Buy 2 998.25
Sell 1 999.50
Buy 1 1003.50
Sell 1 1004.50
Buy 1 1003.75
Sell 1 1002.75 (Stopped out)
Sell 1 1003.25
NT is reporting two losses, when really one loss has occurred. The p/l appears to be correct. Any reason why?
Comment