Inside NT I've noticed that if I have an open position with say 4 contracts with an average price of 5987 and I sell 2 contracts.
The IBKR account will simply sell 2 contracts and the average price remains at 5987.I'm using NT with IBKR all the time and this is how it's working always.
However, after the sale of 2 contracts the Rithmic accounts and the Sim leader account will change to show the average entry price now of 5980 with 2 contracts. And the open P&Ls are very different compared to the IBKR account.
Please see three screenshots with shows each account immediately after the selling of 2 contracts. Does anyone know what is happening here?
And just to confirm ALL accounts sold 2 contracts @ the same price of 5995.50.
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