Today, Oct 4, I opened a 1-contract long position, so I expected to see an execution of Entry with Position 1L. Instead, it displayed Exit and Position 1S. Evidently, it failed to understand yesterday's flattened position.
Throughout the rest of the day, the executions remain incorrect.
Elsewhere, I notice that the Trade Performance Trades display will be correct if I include yesterday but not if I limit it to just today. The Executions display will be wrong regardless. See the attached images.
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