Good Morning everyone.
Have just purchased tradesim and i am running metastock v10.1.
I have been transferring all the systems i have created into the explorer to test using tradesims platform. However, when i am running these explorations the end result is always the same. I get a list of the initial securities, all with one open trade (none rejected)
Trade Database version 10
wARNING! - Price Filter Enabled
wARNING! - Prices will automatically be modified if they fall outside the daily range
) 1 AAc short Total Number or short Trades written to the trade database ror [AAc] is 1, (which includes 1 open trades) (0 trades were rejected).
Security Name: IAUSTRALIAN AGRJCuLT. oRDINARY)
First date scanned from security data [14-sep-2005] - Last date scanned from security data [16-Mar-2009)
Available Records/Total Records: (879/899)
AAc short wARNING! - All trades written to the trade database for [AAc] are open trades.
This is what it says for each security. I know for a fact that there should be a variety of trades taken.
Is there something I have missed, or should be doing that will fix this error.
Thanks for your help.
Have just purchased tradesim and i am running metastock v10.1.
I have been transferring all the systems i have created into the explorer to test using tradesims platform. However, when i am running these explorations the end result is always the same. I get a list of the initial securities, all with one open trade (none rejected)
Trade Database version 10
wARNING! - Price Filter Enabled
wARNING! - Prices will automatically be modified if they fall outside the daily range
) 1 AAc short Total Number or short Trades written to the trade database ror [AAc] is 1, (which includes 1 open trades) (0 trades were rejected).
Security Name: IAUSTRALIAN AGRJCuLT. oRDINARY)
First date scanned from security data [14-sep-2005] - Last date scanned from security data [16-Mar-2009)
Available Records/Total Records: (879/899)
AAc short wARNING! - All trades written to the trade database for [AAc] are open trades.
This is what it says for each security. I know for a fact that there should be a variety of trades taken.
Is there something I have missed, or should be doing that will fix this error.
Thanks for your help.