I’ve encountered a strange issue where I’ve noticed that the TP set in my EA strategy doesn’t match the actual TP. I’m wondering if anyone else has faced this kind of problem.
Thank you, everyone.
I’ve found the issue and I’ll explain to prevent others from encountering the same problem in the future.
I had previously created a file in the ‘Include’ folder where I stored commonly used functions.
Yes, this also included the function for placing trades.
When multiple EAs simultaneously called for trade placements, it caused the issue I experienced.
Logically, it shouldn’t have affected it, but I noticed that the TP set in EUR/USD was actually based on USD/JPY prices.
Due to the significant difference in PIP values between the two, it was easy to identify.
For now, I’ve moved the trade placement function back into each individual EA for use. Next week, I’ll observe the trade placements again.
If no issues arise, then this was indeed the reason.