I am trying to add the following contract via Instrument Manager:
My broker uses Patsystems
Master Instrument=RMB
Instrument type=Futures
Tick size=0.00001
Currency=USD
Point value = 1000000
Rollover=1
Exchanges=cme
Symbol map\Patsystems=CME|RMB
Can you confirm if the values in red above are correct (as compared to the contract spec in the above URL).
I am still confused about the exchanges and symbol map entries.
In Patsystems platform, the contract is listed under CME\RMB\MAY10 (for May contract)
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