How do FIFO conforming brokers handle stoplosses?
consider the following chart:
will this work and only the statement will be written FIFO conforming? Or will the broker just silently rearrange (equivalent profit-wise but potentially confusing for newbies) to:
or even (this would actually break strategies):
How does it behave now, how do brokers handle it, now some time after this all is in effect? Are there differences or is there some common scheme?
consider the following chart:
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# stoploss_A # shortentry_A # stoploss_B # shortentry_B <- price
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# stoploss_B (the size of A == all the remaining lots) # shortentry_A # stoploss_A (the size of B == complete or partial A or A plus partial B) # shortentry_B <- price
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# shortentry_A # stoploss_A + stoploss_B # shortentry_B <- price