Support Board
Date/Time: Mon, 25 Nov 2024 03:04:48 +0000
Order Allocation - Save Trade Window Configuration
View Count: 300
[2024-04-10 04:15:16] |
owensd - Posts: 12 |
How does this feature work? It's not documented here: Order Allocation to Trade Accounts: Functionality I thought the accounts would be saved with the trade configuration. For example, create a trade configuration called "NQ - Group 1" and it would contain accounts 1-4 and another "NQ - Group 2" and it would contain accounts 5-10. However, this doesn't seem to be the case. Instead, I can't seem to figure out a difference in behavior when this is set to YES or NO. Thanks for any info! |
[2024-04-10 15:26:25] |
John - SC Support - Posts: 36238 |
There is a setting on the "Order Allocation to Trade Accounts" settings page for "Order Allocation to Trade Accounts Include in Save Trade Window Configuration". When this option is set to "Yes", then when you save the Trade Configuration, the Order Allocation to Trade Accounts will include the information as it is setup at that moment for the Order Allocation to Trade Accounts. Refer to the information for the Order Allocation to Trade Accounts here: Order Allocation to Trade Accounts And the Trade Configuration information here: Basic Trading and the Trade Window: Using and Changing Between Different Trade Window and Attached Orders Configurations For the most reliable, advanced, and zero cost futures order routing, use the Teton service: Sierra Chart Teton Futures Order Routing |
[2024-04-10 16:50:16] |
owensd - Posts: 12 |
Oh... I see. I thought this would also save the list of accounts that was being copied to as well. Got it, thanks. |
To post a message in this thread, you need to log in with your Sierra Chart account: