WEBVTT

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Managing several strategies means repeating the same careful questions without losing track

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of context. More cards do not create more account funds. More enabled

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engines do not automatically provide more useful activity. Begin by identifying which

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strategies are selected, which are enabled, and where they may act. Then

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consider their combined demands on the resources available to that account.

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Use a simple fictional Paper example. Strategy A has two slots and

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a fifty-dollar target per entry. Strategy B also has two slots and

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the same target. Together, those settings could describe four fifty-dollar entry targets

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before other constraints. If the shared account has only one hundred dollars

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available, the two cards have not created two hundred dollars of spending

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power. The actual permitted actions still depend on funds and applicable checks.

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Open positions also belong in that review. Read their owner or strategy

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and account context. Two engines may be interested in the same market,

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and similar symbols can appear on different holdings. Do not assume that

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adding another strategy automatically diversifies the account or eliminates overlapping exposure. The

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point of this page is to understand the combined setup, not to

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recommend a number of strategies or a particular allocation.

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Now rehearse a shutdown drill in the isolated example account. First write

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down the intended endpoint: stop new Paper entry decisions for the two

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example strategies, inspect remaining positions, and leave any unresolved result clearly identified.

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This drill does not require selling holdings or canceling subscriptions. If those

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were also your intentions, they would need separate decisions and separate verification.

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Disable each example decision engine in the correct Paper context and verify

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the returned state for each one. Do not stop after changing the

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first card. Review the list again and confirm that the intended strategies

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are off. If another mode or account is relevant, inspect it separately;

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do not assume a Paper change answered a Live question. You can

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demonstrate this sequence without changing the viewer's real settings.

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Next, inspect the example holdings, alerts, and relevant transaction records. Record what

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remains open and whether any submitted action has an unresolved outcome. If

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a holding is retained under manual ownership, identify that responsibility explicitly. If

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you later choose a broader pause, inspect its scope and effect on

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monitoring rather than treating it as one universal switch that safely completes

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every part of shutdown.

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Finish with a short handoff note. State the context, the strategies checked,

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their verified engine states, any open holdings, and any unresolved requests or

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warnings. Include the time of the check. Leave credentials and unnecessary account

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details out of the note. This record helps you or another authorized

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person understand the actual stopping point without guessing from the color of

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a button.

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You have completed the chapter when you can explain how to add,

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configure, enable, disable, and remove a strategy without mixing those actions with

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subscription billing or position liquidation. The important skill is not clicking quickly.

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It is knowing what each control changes and checking the result. Next,

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we will follow the activity trail in Transactions so you can connect

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those requests and outcomes to the records the app keeps.
