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confusing trade performance window

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    confusing trade performance window

    I`m not getting the order entry and exit names.

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    not sure why entry and exit names are the same?

    I would have thought entry was buy or sell short, and exits were stop1 and target1...

    #2
    Hello jitterbug,

    This can be as expected behavior. I can reproduce it as follows. I submit a buy order with an ATM strategy that fills. I am now in a long position with active ATM orders.

    I create or select a new ATM strategy and submit a sell order which fills. This counts as one long trade. The two entry orders are paired into a trade. Later on the stop losses fill and they are paired into a trade as well.

    Please note that the Trade Performance window pairs executions into trades based on time of occurrence.

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