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    Trades Report columns

    Hi,

    I have developed a strategy and take position by ATM.
    When I look at Trades report I don't get the meaning of two kinds of data in in table
    1- Entry Name = Entry and Exit Name = Entry
    2- Entry Name = Close and Exit Name = Close



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    #2
    Hello bosajin,

    Thank you for the post.

    From the given details I couldn't really say why that may be reported as those names. Do you have a way to reproduce this happening when submitting a specific ATM or set of orders from your script?

    The names used in the order grid come from the pairing of the trades and signal names/types of orders. If not all trades were included that could be one situation where incorrect pairing happened. The Close being listed as entry and exist could potentially be the order types used, I would need the full details about what was being done when you had seen that.

    Please let me know if I may be of additional assistance.

    Comment


      #3
      Hi Jess,
      Please let me know , how I can send you the log and trace files.

      Comment


        #4
        Hello bosajin,

        If you know the specific order id's and have the logs for that time you can use the platform support [at] ninjatrader.com email. We will still need to know what logic you were using at that time to be able to provide any context from the logs. The logs will simply show the orders which happened but would not have a lot of relevance to a performance report being generated in the platform based on a specific set of trades. If you are seeing this with a strategy you are using it would be best to try and recreate this so we know what logic and steps were used to see that happening. From there we could review the logic to better understand why that is reported in the trade performance in that way.

        Comment

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