Could there a reason why I had a problem running the same strategy on the same account twice, one in EUR/USD, the other GBP/USD?
It appeared to work but then I realised that it had opened two positions in GBP/USD when the coding should only allow a single position.
I was wondering whether there is a global variable issue somewhere.
If the programs run as separate processes, this should not occur, but perhaps by using the same program twice this causes a problem.
I guess the answer may be to copy the strategy to a different name. Or run TS2 twice.
Ideas?