Let's say I have an entry condition to go long and to go short on multiple contracts. Signal long triggers and I'm long 3 contracts. A first target is touched and filled so now long 2 contracts.
Then, my short signal triggers and has an order to go short 3 contracts. I understand that NT takes care of the reversal, but in this example, does NT "know" to sell the 2 longs and then execute the new short 3 order?
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