First... my strategy is a basic buy/sell on crossover. If I am long, I switch to short and vice versa. I should always have either 1 long or 1 short position. Caveat... Exit on Close sort of messes with my view of the world, but, read on...
I was long, had Exit on Close configured... and it triggered as expected. Fine... but look at the reports! Badly confused. Now... my strategy re-entered prior to the session end (I need to fix that...) but, surely the data reported is regardless of this badly wrong!
Pics attached. YM Trade is the actual trade screenshot. The others are self-explanatory.
Regards,
T.
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