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Date/Time: Wed, 30 Apr 2025 07:36:34 +0000



Copy Trade Issues

View Count: 62

[2025-04-21 17:41:24]
UTkRussell - Posts: 20
John,
I'm using the order allocations with the lead/master account being a PRACTICE account, then copying those trades to 5 combines.
- Master - Practice account: 1 order entry
-- Slave - 4 Combines: 2x Practice Account
-- Slave - 1 Combine: 4x Practice Account

However, as you can see from the Trade Orders, my limit order was filled for 1 order on all accounts instead of the multipliers on the combines. I then used "flatten/cancel all orders" to market out. Any ideas why I would get filled 1 quantity on all accounts but without the multiplier? Very frustrating and would like to ensure it doesn't happen again.
Private File
[2025-04-21 19:11:39]
John - SC Support - Posts: 39559
You would need to look in your "Trade >> Trade Service Log" to see if there is anything in there on why those accounts did not take the full quantity. We wonder if there was something about the account setup with the Prop Firm that you are limited in the quantity.

If you have not logged out of Sierra Chart, then the information may still be in that log. Otherwise, you would need to check in the log the next time you have this issue.
For the most reliable, advanced, and zero cost futures order routing, use the Teton service:
Sierra Chart Teton Futures Order Routing
[2025-04-21 19:35:51]
UTkRussell - Posts: 20
Unfortunately I closed Sierra since then.

The combines are $50k and $150k, so max leverage is 5 contracts and 15, respectively.

In the future, is there a way to confirm all orders were filled if I'm only watching the PRACTICE account that shows the 1 order filled?
[2025-04-21 20:38:00]
John - SC Support - Posts: 39559
You would need to look at the Trade Activity Log or another chart setup for another account.
For the most reliable, advanced, and zero cost futures order routing, use the Teton service:
Sierra Chart Teton Futures Order Routing

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