Can someone give me an explanation of what the "historical trade data" in the database actually is? What's the downside of doing a reset and clearing it after every market trading day? (I ask this because of Buy/BuyToCover problem mentioned in previous thread.)
I would have thought that strategic positions calculated from the chart would be fine. All of my orders are Day only, and they all cancel overnight. I do carry numerous long positions overnight.
One of my goals is also to make everything portable from system/system overnight. So... ideally, I would need a system that's consistent/correct starting up from a blank database, anyways.
Comment