Are the daily statements they send via email impossible to decipher if you make more than one trade a day?
Anytime I have more than one trade, the trades are just listed sequentially lowest ES entry/exit to highest ES entry/exit.
TRADE SETTL AT BUY SELL CONTRACT................EX PRICE CC
10/05/0 KB4K F1 2............DEC 10 EMINI S&P 500 16 1133.50 US
10/05/0 KARB F1 .......2.....DEC 10 EMINI S&P 500 16 1133.75 US
10/05/0 KA21 F1 .......2.....DEC 10 EMINI S&P 500 16 1134.00 US
10/05/0 KA8X F1 2............DEC 10 EMINI S&P 500 16 1134.50 US
10/05/0 KA4D F1 2...........DEC 10 EMINI S&P 500 16 1135.00 US
10/05/0 KBVF F1 .......2....DEC 10 EMINI S&P 500 16 1135.00 US
I put the periods in by the buy/sell amount to keep the 2's under the buy or sell column, cause ET was just compressing the spaces.
Should I be trying to figure out the Settlement code to know the order of the trades?
Thanks
Brian
Anytime I have more than one trade, the trades are just listed sequentially lowest ES entry/exit to highest ES entry/exit.
TRADE SETTL AT BUY SELL CONTRACT................EX PRICE CC
10/05/0 KB4K F1 2............DEC 10 EMINI S&P 500 16 1133.50 US
10/05/0 KARB F1 .......2.....DEC 10 EMINI S&P 500 16 1133.75 US
10/05/0 KA21 F1 .......2.....DEC 10 EMINI S&P 500 16 1134.00 US
10/05/0 KA8X F1 2............DEC 10 EMINI S&P 500 16 1134.50 US
10/05/0 KA4D F1 2...........DEC 10 EMINI S&P 500 16 1135.00 US
10/05/0 KBVF F1 .......2....DEC 10 EMINI S&P 500 16 1135.00 US
I put the periods in by the buy/sell amount to keep the 2's under the buy or sell column, cause ET was just compressing the spaces.
Should I be trying to figure out the Settlement code to know the order of the trades?
Thanks
Brian