This value is obtained from the consultant strategy. It indicates the theoretical entry price (in the case where the strategy currently has an open position) or the output theoretical price (in the case where the strategy is FLAT or with any open position in the market). Sometimes the data reading is incoherent in appearance with the market prices. This is due to the fact that not all software in use by the consultants are able to send this information properly. In some cases, in fact, this information is derived from the software consultant, having no access to all information pertaining to the strategy, the sums so unfit. Please see the correct reading of the input / output value in the "orders History panel"
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