My NT preformance result shows an incorrect value due to a trade that I entered before an inverse split and exited after the inverse split. The problem is the exit order that has the original volume (same as the entry order, that is 1000 stocks) instead of the split adjusted volume (4:1= 250 stocks). How do I correct this in my NT database?
The entry and exit prices are correct. I'm using IB:s TWS with NT.
Regards,
poseidon_sthlm
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