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Date/Time: Wed, 27 Nov 2024 21:31:50 +0000



Post From: Trade Allocator

[2023-07-07 16:41:47]
User148596 - Posts: 216
Hi, I'm having an issue with the trade allocator in that on one of the multiplied accounts it is setting a primary scale contract, then a secondary scale contract and then 2 tertiary contracts. What I can't seem to figure out is how to get it to have the two grouped contracts show up as the secondary scale target vs. the tertiary scale target. The originating account is trading a 3 lot and the account in question is trading a 1.33 multiplier which is giving me a 4 lot which is what I want for that account. My apologies if this is covered but I didn't notice it in the trade allocation description page.

Thanks

P.S. I just realized that by simply swapping the secondary and tertiary scale targets in the leader account that will automatically adjust the follow account to how I want it, but this is an extra step that I'd prefer to avoid if there's a way to.