I'm sorry for a confusing title, this is the case:
I'm in trials for my Algo, just in simulation. So far, the code works well, but I've noted some curious thing. Sometimes there are missin executions in the page of NT, which implies that the Strategy's position and the Positions's position doesn't match. In my case, the position in strategy tab is Long 100.000 EURUSD but in Position tab is 200.000 Long, which it's even more rare cause the Algo just buy and sell 100.000 for each side.
This is just normal in simulation but whenever it goes to "live", the synced between accounts avoid this kind of events?
Thanks
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