- Trader Monitoring
- Common Tasks
- Position Management
- Screen And Field Descriptions
- Control Panel
- Market Explorer
- Orders And Fills Window
- Position Window
- Alert Manager
- SODs And Manual Fills
- Contract Session Price
- Audit Trail
- TT Login Dialog Box
- Contacting Support
- Shortcut Keys
The Positions tab sets properties for the Fill window and the Position window.
|P/L based on||Description|
P/L based on
Recalculates your Profit and Loss based on your selection.
When Include Indicative Settle is enabled and the P/L based on setting is set to Settlement, X_RISK uses the Indicative Settle (indicative settlement price) sent by the gateway from the Exchange to calculate how P&L is displayed in the Orders and Fills Window Summary Pane, Position Window Position Pane, and the Fill Window Position Pane.
When Include Indicative Settle is enabled and the Indicative Settle is not available, the Settle (settlement price) is used to calculate the displayed P&L.
When Include Indicative Settle is disabled (which it is by default), the display is calculated using the current P/L based on selection.
Displays position using the native currency, or the quantity multiplied by the price (default). The primary currency is annotated next to the Currency option (for example, Currency – USD).
Determines how your positions sort in the window. Refer to Grouping and Sorting.
Display spread / strategy positions
Displays the spread along with the spread legs into your position totals and P/L calculations. When disabled, only the spread legs are included.
Position Window Columns
Lets you select the default visible columns for the top pane in the Position window.
Orders Pane Columns
Lets you select the default visible columns for the Orders Pane pane in the Position window.