I am manually adding executions to NT8. While doing this, I am noticing a very strange "position" calculation.
In the screenshot, you will see 8 executions. I am focusing on the two executions with the AUDCAD.
You will see that on 3-Apr-15 @ 8:00 PM there is an Buy Entry for 7,000 units @ .95299. But, if you look in the Positions column, it is immediately showing that I am long 14,000 Units. Then, 3 days later I close those 7,000 units and it still shows a remaining long position of 7,000.
If you notice in the upper right, I expanded the time frame to 2013 and including to the future to ensure that I did not erroneously place an additional execution that it is somehow calculating. You can also see that the "Generate" button is highlighted demonstrating that I did actually press the Generate button.
I can not find any possible reason why this would be adding an addition 7,000 units to my position. Could you let me know what I might be doing wrong?
Thank you very much for your help.
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