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On Ninja I have just disconnected from my Topstep evaluation account and put a trade on in Ninja Sim.
And, bingo, the trade entry position line showed up along with profit and loss again - unlike when I was using the topstep account where they had not showed up today.
.
AND in my Ninjatrader performance the trade showed up as the winner it was.
UNLIKE my last trade in the Topstep account that misrepresented a 2 point ES winner into a $25 loss.
It could have something to do with settlement. Although I trade my own money, I've seen similar discrepancies. Furthermore, with Rithmic, the PnL that it shows never matches the PnL on my broker's web platform (Ironbeam via Certigo).
With the number of trades I put on a day, sometimes a hundred, how would I ever know whats my net lol
Have to start writing em down and then miss trades...
Hmm, not good this.
Mind boggling how in this day and age it seems to be a challenge reporting something as simple and binary like if a trade was a winner or not, and adding up the numbers after the trades lol !
The biggie tho was them claiming I had 32 losing trades, and one winner of $125.
And somehow managing to turn my 33rd and last trade, before I checked their stats and noticed sthg was totally off, a $100 winner into a $25 loser, even tho Ninjas chart screen clearly showed my entry and take profit of two points = $100.
One time I had a $2000 deficit pop up out of nowhere. For the life of me, I couldn't understand it. It was too large of an anomaly to disregard. So, I did some digging.
On 12/3, I opened a long BUB (long ZB and short UB).
On 12/9, after 18:00 EDT, I closed the trade (short ZB and long UB) for a nice profit.
On 12/10, before 17:00 EDT, I opened a short ZN Fly (short ZN, long ZF, and long ZB).
Here's the kicker. Since I didn't let the ZB that I opened on 12/3 and closed on 12/9, after 18:00, enter settlement, after 17:00 on 12/10, the exchange used the long entry point on 12/3 instead of the long entry on 12/10, which put me in the hole $2000 from the jump.
Note: A futures trading session spans two calendar days (18:00 EDT - 17:00 EDT, the next day). That's what tripped me up. I was always aware of it. What I wasn't aware of is that there two parts of a closing a trade-- the close that you execute and the settlement that the exchange executes. The two don't occur at the same time.
The painful lesson that I learned is to allow all closed contracts to enter settlement, after 17:00 EDT, before opening the same contracts in the previous direction. So, if closed a long trade on a contract, I won't open another long trade in the same contract before it is settled by the exchange.
I'm not an active trader, so this isn't a problem for me. But for scalpers, that can be problematic.
Do those discrepancies ever resolve themselves? What I mean is if you go back to when you first noticed it (assuming sometime in April) does it still show the difference?
Have you raised the issue with either TopStep, Rithmic, or Ninja?
Hi, this was only my third or so day of trading the real evaluation account, and yesterday the first day of real heavy trading where I actually started looking at the trading P&L, before I was just familiarizing myself with Ninja again which I hadn't used in a long long time.
But yep contacted all three of them.
Must say very supportive and helpful response from Topstep - they have really helped me tremendously getting things set up with them must say -, and they've basically put my evaluation on pause until they figure out where the glitch is.
With Ninja I started a thread where they responded immediately as well, and I've emailed my platform logs / data to Ninja.