What I want:
1. Each contract's original data to exist untouched so I can just examine the real data if need be.
2. To be able to choose whether to chart adjusted data or actual data for a given contract (current or historical) depending on the context.
I simply cannot understand either from the documentation or the threads here what process I need to follow to do this. This was tedious, but possible in NT 6.5 by manual merging into a contract. What do I have to do in NT 7? I do not see a manual merge by date range window anywhere, and I cannot "reload" data because I have real-time tick data saved.
This feature looks great, but I am really confused.
Thanks
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