I set the Money management option to Fixed Size(Lots 1) However, we found that the contracts entered different numbers at the Trade Station. I found the following syntax in the source code. This syntax was automatically adjusting the number of contracts. Why is this happening? I can not believe all equity curves. How can I prevent this syntax from being entered automatically?
NumberOfShares = SQ_MoneyManagement(CapitalSize, SLSize, MoneyManagementType, TradeSize, SizeRounding, RiskPerTrade, MaxTradeSize);
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