I know there have been other threads on this subject but none of them seem to contain a definitive answer.
Question: What is the actual process in TWS to settle outstanding currency amounts in the base currency?
I know I can use the account window to reduce the market values to nearly zero, but this leaves open positions, is this correct?
Question: What is the actual process in TWS to settle outstanding currency amounts in the base currency?
I know I can use the account window to reduce the market values to nearly zero, but this leaves open positions, is this correct?