Support Board
Date/Time: Wed, 29 Jan 2025 05:58:14 +0000
Post From: Frustrating spreadsheet problem
[2019-02-28 23:41:53] |
User917679 - Posts: 76 |
This strange thing happens to me where when I have my automated system execute an exit from a sell position, it sometimes appears to use the J26 order quantity instead of the J83 amount I'm specifying.. Any suggestions as to why this might be? edit: "is j82 set to 1?" nope, its left blank I tried to attach/include a bit from the trade activity log that might be a clue(?) I noticed my max trade quantity for the previous trade was 4 pts lower.. so the spreadsheet seems to have split the quantity order to "134" and "+ 4", instead of the 138 ALL at once how I want it.. Date Time Of Last Edit: 2019-03-01 00:38:18
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