Support Board
Date/Time: Mon, 15 Sep 2025 13:42:07 +0000
Post From: Order Allocation>>Available Accounts (List) SC Trade Copier Changing Account
[2025-09-11 17:57:17] |
User543381 - Posts: 4 |
I have two Stage 5 prop accounts both are on the same chartbook. Here are the steps that I used to set up the trade copier In both charts, in the trade window I Click M>>Settings>>Enable Order Allocation to Trade Accounts. Then in the first chart from M>>Settings>> Order Allocation to Trade Accounts I choose one of the two accounts and Click ADD which moves it down to the Allocation Accounts (List). I set Order Allocation to Trade Accounts Enabled to Yes and Allocation Trade Account Multiplier = 1. I Click Apply All and OK. On the second chart, I select the same account that I pushed down to Allocation Accounts (List). For a couple of weeks I successfully used this setup in Sim 1 mode. Today I switched to the two prop accounts. On the first trade executed everything worked fine confirmed by Rithmic Pro. Both accounts show that they were completed with the same results. On the second trade execution a Trade Log messages comes up stating that I was trying to trade the same account from both Trade Windows. Before I tried to execute the second trade, Sierra Chart had changed the Allocation Trade Accounts (List) to match the Available Accounts (List). I had not selected the account it was displaying. The following is a copy of the section of the Trade Log showing the two accounts. 2025-09-11 04:50:43.815 | Rithmic Direct - DTC | Requesting trade accounts from server. 2025-09-11 04:50:43.881 | Rithmic Direct - DTC | Performing query for most recent account balances Date-Time for Trade Account: PST-xxxxx-W002. 2025-09-11 04:50:43.882 | Rithmic Direct - DTC | Performing query for most recent account balances Date-Time for Trade Account: PST-xxxxx-W001. 2025-09-11 04:50:43.882 | Rithmic Direct - DTC | Received 2 accounts from service. 2025-09-11 04:50:43.926 | TradeActivity files query time: 0.045276 seconds. Entries: 0. BeginDateTimeUTC: 00:00:00.000. Outstanding queries: 1 2025-09-11 04:50:43.927 | Rithmic Direct - DTC | Requesting historical account balances for account PST-xxxxx-W002. Start date-time UTC: 2025-05-10 11:50:43 2025-09-11 04:50:43.959 | TradeActivity files query time: 0.032838 seconds. Entries: 0. BeginDateTimeUTC: 00:00:00.000. Outstanding queries: 0 2025-09-11 04:50:43.959 | Rithmic Direct - DTC | Requesting historical account balances for account PST-xxxxx-W001. Start date-time UTC: 2025-05-10 11:50:43 2025-09-11 04:50:44.080 | Rithmic Direct - DTC | Requesting Trade Positions data. 2025-09-11 04:50:47.051 | TradeActivity files query time: 0.383481 seconds. Entries: 0. BeginDateTimeUTC: 00:00:00.000. Outstanding queries: 0 Here are the error messages that the Trade Log shows that the two Trade Window accounts match and SC is trying to execute the same account from two difference Trade Windows. 2025-09-11 06:17:51.008 | Order modification failed (InternalOrderID) | Price and quantity (23937.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23937.00. Internal Order ID: 17404. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * 2025-09-11 06:17:51.009 | Order modification failed (InternalOrderID) | Price and quantity (23950.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23950.00. Internal Order ID: 17405. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * 2025-09-11 06:17:51.009 | Order modification failed (InternalOrderID) | Price and quantity (23935.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23935.00. Internal Order ID: 17407. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * 2025-09-11 06:17:51.009 | Order modification failed (InternalOrderID) | Price and quantity (23950.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23950.00. Internal Order ID: 17408. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * 2025-09-11 06:17:51.009 | Order modification failed (InternalOrderID) | Price and quantity (23890.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23890.00. Internal Order ID: 17410. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * 2025-09-11 06:17:51.009 | Order modification failed (InternalOrderID) | Price and quantity (23950.00, 0) for order modification are the same as existing order. | Modifying Attached Order from parent modification. Parent base price: 23940.00. New price: 23950.00. Internal Order ID: 17411. Service Order ID: (none). Symbol: MNQU5.CME. Account: PST-xxxxx-W002 * What is wrong? How can it be fixed? |