1. Entry #1
2. Entry #2
3. Stop location for Entry #1
4. Intended stop location for entry #2
When I placed the second trade, rather than using my 3 point stop specified in the ATM strategy, the stop for Entry #2 was placed at the same location as the stop for Entry #1.
When I tried to drag the stop for Entry #2 to the correct location, it selected all contracts for both Entry #1 and Entry #2, as it appears to have grouped them together.
How can I remedy this? I do not want the stops to be grouped like this, which is especially strange because the ATM strategy would have set the prices for both stops at different levels.
Thanks!
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