I found today the strange NT8 behavior:
For some reason it executed automatically an entry order in place of a Exit on session close.
For some reason it executed automatically 4 contracts.
It does not make sense for it to execute an Entry instead of an exit on Exit on session Close.
I used an unmanaged automated exit strategy on Manual Long only entry, so it does not make sense it executed a long entry as Exit (if any order was still active it would have been a long order necessitating a short exit order).
And even if there was still an active 4 lots short order, the Exit on session Close should have closed the order, but for some reason it entered an order instead that was anew and active today.
I have no automated entry script so I don't understand why it did execute this order.
How can I find out why it did execute this Entry order instead of exit order?
How can I find out why it executed a Long order instead of a Short?
How can I check the orders of yesterday prior to this order (I only see today's orders on the Executions tab)?
How can I prevent it from executing this random order again?
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