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Date/Time: Sat, 05 Sep 2026 22:59:38 +0000



Post From: Sierra Chart Trade Activity Log / DPL Showing Incorrect Trade Data

[2026-07-21 13:55:25]
johnnyboy - Posts: 9
I believe I've narrowed the issue down further.

In the Order Fills tab, the trade is recorded correctly:

Buy 2 MES @ 7500.00
Sell 2 MES @ 7505.25

However, in the Trades tab, the same fills are summarized as:

Long 1 @ 7500.00 → 7505.25 (+26.25)
Short 1 @ 7505.25 (still open)

This does not match the underlying fills. Additionally, a previous trade from 2026-07-16 is shown as a single-contract short from 7592.00 to 7500.00 for +$460, which is not a trade I actually took.

Since the raw Order Fills appear to be correct, could you advise why the Trades tab is grouping or matching these fills incorrectly, and which settings control this behavior?