One critical aspect is the syncing accounts and strategy position, which triggers doubts:
- Is the settings about syncing accounts kept the same regardless managed or unmanaged approach methods?
- If I suffered a disconnection, when NT comes back to be connected, how can I call the real position and quantity held in my broker account?
I don't think that is as simple as calling Market.Position and Market.Position.Quantity, cause this info could comes from the Script Strategy Position. As a matter of fact, everytime after the typical few minutes resetting of IB's servers, the Strategy Position and the real Account position are not synced any longer; it was necessary then tweeking all that settings, substitute Recalculate by KeepRunning but that's not 100% a reliable solution.
- After a disconnection which is the best and reliable method to get what's my broker's account position and quantity?
Thanks
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