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Strategy Position Size Mismatch

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    Strategy Position Size Mismatch

    I have a forex strategy running. Under the Strategies tab, it shows the correct position size of 20,000 running. However, under the Positions tab, the last trade was 30,000 and the current trade is 10,000. Long positions are 30k, short are 10k...each is supposed to be 20k.

    I've verified with fxcm that the positions stated in the Positions tab are the sizes taken, which is not what I have programmed (which is 20,000).

    Any idea what is going on here?
    Last edited by cmetz; 07-02-2015, 12:34 AM.

    #2
    Hello,

    Thank you for the question.

    Can you please email your log and trace files for the time period that this occurred so we can review the orders in question? You can do this by going to the Control Center-> Help-> Mail to Platform Support.

    Also please provide some details on the actual entry statement you are using, this could potentially lie in what the script is doing but would need more details on what is happening.

    I look forward to being of further assistance.

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