When I choose to view the performance report after a period of trading, I found that the trades of this one strategy I am looking at are mixed up with trades from the other strategies.
I should see only one trade for today, but I see 8.
NT has mixed up exits with entries too, so I see some of the apparent trades listed for this strategy have exit executions given as entries and vice-versa.
Hopefully you can replicate this with one strategy set up to run on 6 different time frames on the same instrument, 15min, 30min, 60min, 120min, 240mins & daily.

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