I trade 5 contracts using an ATM strategy. Four are scalps and one is a runner. I want to look at the data for each one separately when I export from the "Trades" tab or look at the "Summary" tab.
But if I "Group trades by ATM strategy", I just see a row for all 5. It shows the total profit for all 5, and the exit time only reflects the scalps for some reason.
If I don't group by ATM strategy, sometimes I get five different rows which is painful to sort through. Sometimes I get three rows, etc. I guess it all depends on how the scalps were filled.
But I want one row for the four scalps and one row for the runner. Can this be done?
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