Support Board
Date/Time: Wed, 15 Jan 2025 19:01:00 +0000
Post From: LMAX Trading Issue
[2017-07-10 08:04:31] |
Fabio - Posts: 117 |
Please find attached the file requested, let me know if it is what you are seeking. About the instruction on how the current trade position are determined instead, I am still not fully understand which is the process I have to follows (maybe because English is not my first language): When a trade will be filled (let's say i.e. today on GBP/USD at 9:15 am) I have to type in the Chart >> Chart Settings >> Advanced Settings >> Order Fills Start Date-Time boxes the exact date and the exact time of the execution? I have to do this every time an order will be triggered or just once? This procedure above, allow me to avoid the problem I got? Thanks for your help. Fabio. |
Private File |