2022년 5월 14일
This script demonstrate what I don't understand - according to documentation with order managements The from_entry parameter should execute the exit on this specified trade. The chart shows the right information, but the list of trades, in the Strategy tester panel doesn't make sense: This is an extract of the CSV file I got from this script: The enter1 is getting matched against 4 others entry names, each closing 30% of the position. 10,Exit Long,exit loss2 10,Entry Long,enter 3 =================== 9,Exit Long,exit loss4 9,Entry Long,enter 3 ================== 8,Exit Long,exit loss4 8,Entry Long,enter 2 ================== 7,Exit Long,exit loss3 7,Entry Long,enter 2 =================== 6,Exit Long,exit loss8 6,Entry Long,enter 2 ================== 5,Exit Long,exit loss10 5,Entry Long,enter 2 ================== 4,Exit Long,exit loss10 4,Entry Long,enter 1 =================== 3,Exit Long,exit loss5 3,Entry Long,enter 1 =================== 2,Exit Long,exit loss9 2,Entry Long,enter 1 =================== 1,Exit Long,exit loss6 1,Entry Long,enter 1