I just found out by coincidence, that NT uses wrong instrument data in the chart and strategy analyzer. See the enclosed screenshots.
As you can see the close of the contract ZC 07-11 on 1st April 2010 are 402.
In the chart and the strategy analyzer it is 401. Open, High, Low and Volume are also wrong.
Edit: Could the reason be that NT creates continous contracts also if I take a contract far in the past? Is it possible to show a contract in the chart without NT creating a continous contract?
thanks for your feedback
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