It use to be correct earlier in the Year. Can you check to see if you are getting sameoutput. Thanks.
Currently
Trade myTrades = SystemPerformance.RealTimeTrades[SystemPerformance.RealTimeTrades.Count - 1];
Yields in release :instrument='YM 09-19' entryPrice=26545 exitPrice=26535 quantity=1 marketPosition=Short entryTime='6/27/2019 10:34:35 AM' entryTime='6/27/2019 11:08:42 AM' profitCurrency=46.4
Earlier in February
Instrument='YM 03-19' EntryPrice=25498 ExitPrice=25568 Quantity=1 Market position=Long EntryTime='2/13/2019 9:30:03 AM' ExitTime='2/13/2019 9:50:49 AM' TotalProfitCurrency=$345.00
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