What happens if I adjust legs near market close or expiry?
If a leg is adjusted:
- Close to market closing time, or
- On the expiry day
There is a higher chance of:
- Liquidity issues
- Order rejections
- Strategy moving to Repair
? It is recommended to avoid major adjustments near market close or contract expiry.
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Still have questions?
I had set up a desired Stoploss (SL) and Take Profit (TP) points/values — why did the system not properly trigger the Strategy SL & TP?
Can I adjust multiple legs at the same time?
Why did my strategy hit Stop-Loss after leg adjustments, even though it was in profit?
Does Global Exit still apply after a leg adjustment?
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