Hi there,
In any strategy, once the condition is met, the trades are sent to the broker.
The trades are sent to the broker either at Avg of Bid/Ask, Best Price, Market Price, LTP. and it follows Price execution 2 condition (screenshot below).
But my requirement is, the trades should be sent to my broker at LTP-1 (if Buy) and LTP+1 (if sell). And then it can follow the revision attempts, increase ticks by,final actions as per the set criteria.
Anyone please advise how can i do this ?