I will try to explain my problem through an example.
If I make a long position ("2L") and I disconnect the strategy, I let some time pass. During that time historical trades open and close. But when I connect the strategy using immediately submit, the last position is long but with a different quantity ("5L"). The strategy will seek to sell the 5L. but I don't have that amount in my account and I don't want it to go short.
How should I operate so that my strategy knows how much to sell? I have other strategies operating on that instrument so I cannot use adopt account position.
Thanks!
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