However in the trades tab & the exit name column, I only see the exit name of the first target on all the exits, despite the fact that the secondary target is frequently used, as evidenced from debugging checks.
My exit orders are entered GTC so the secondary targets presumably replace the initial targets, updating the price. However the exit label isn't changed.
Is there a purpose for this or have I stumbled on an oversight in the coding?
I can't see any benefit to the way it is, and in fact from my POV trying to analyze my exits, this is a hindrance.
Thanks

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