So I have a strategy I made in the strategy builder
when conditions are met for a long entry a limit order is placed on the nearest bid and the opposite for a short entry
im running this on a crypto exchange where a pay a fee for market orders and get paid the fee for limit orders placed in the book
for some reason the entry’s are going through as market orders and I’m paying the fee. Closing positions is fine as Take profit is placed in the order book so I collect the fee
any help with this would be very much appreciated
Thanks , Jack.
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