I think i am having a weird issue.
When i take multiple /NQ trades at different price points with a SL & PT set as ATM for each entry - SL/PT are always matching for all the entries, why is that?
ex: Trade1 = Long NQ at 20250 with a 10 PT/SL(declared in the ATM). so SL = 20240 and PT = 20260.
Trade2 = long NQ at 20255 with a 10 PT/SL. in this case also, SL for T2 is staying at 20240 and PT =20260.
What is expect is for T2, SL should be 20245 and PT should be 20265, which is not actually happening on my charts. Why is that?
Is there a setting that i can change to behave this differently and allow to set SL/PT based on the entry price of the individual trade?

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