Support Board
Date/Time: Tue, 26 Nov 2024 04:51:44 +0000
problem with automated spreadsheet execution of multiple contract entries with attached targets
View Count: 1235
[2014-04-08 08:57:03] |
enemyspy - Posts: 306 |
spreadsheet entry keeps creating target mismatch upon a signal being triggered with attached orders. -If position size is set to 1 with a target and stop triggered it works -If position size is set to any thing > 1 on the order window with the matching targets when a trade signal is generated the window keeps resetting the selection back to 1 which creates a target mismatch and does not enter the order. -if spreadsheet trading is disabled and position is entered manually the order executes correctly with no target mismatch. Spreadsheet settings: Max position size: 100 Support multiple entries in same direction: True Scale in/scale out in oe window= Not enabled what could be causing this to happen? |
[2014-04-08 09:12:42] |
Sierra Chart Engineering - Posts: 104368 |
We are testing this now.
Sierra Chart Support - Engineering Level Your definitive source for support. Other responses are from users. Try to keep your questions brief and to the point. Be aware of support policy: https://www.sierrachart.com/index.php?l=PostingInformation.php#GeneralInformation For the most reliable, advanced, and zero cost futures order routing, *change* to the Teton service: Sierra Chart Teton Futures Order Routing |
[2014-04-08 09:26:54] |
Sierra Chart Engineering - Posts: 104368 |
We enabled Use Attached Orders on the Trade Window for the chart that has the Spreadsheet System for Trading study. There is a single Target and Stop order defined on the Trade Window. We triggered an order from the spreadsheet and J26 was set to 0. The order quantity was 1 and so was the Attached Orders. We set J26 to 2 and triggered another order, and the order quantity was 2 and the Target and Stop orders were also set to 2. Therefore, we do not see a problem. What is your Attached Order configuration? Sierra Chart Support - Engineering Level Your definitive source for support. Other responses are from users. Try to keep your questions brief and to the point. Be aware of support policy: https://www.sierrachart.com/index.php?l=PostingInformation.php#GeneralInformation For the most reliable, advanced, and zero cost futures order routing, *change* to the Teton service: Sierra Chart Teton Futures Order Routing |
[2014-04-08 09:28:08] |
Sierra Chart Engineering - Posts: 104368 |
Actually, we think we see where you are going wrong. The order quantity must be specified from cell J26. It cannot be specified from the Trade Window. The documentation does indicate this.
Sierra Chart Support - Engineering Level Your definitive source for support. Other responses are from users. Try to keep your questions brief and to the point. Be aware of support policy: https://www.sierrachart.com/index.php?l=PostingInformation.php#GeneralInformation For the most reliable, advanced, and zero cost futures order routing, *change* to the Teton service: Sierra Chart Teton Futures Order Routing |
[2014-04-08 17:56:28] |
enemyspy - Posts: 306 |
ok. Thanks knew I was going wrong somewhere. Overlooked this as previous experiments only used 1 contract.
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