Anyone else here unable to get proper data for the December contract. I trade ES and MES and I am getting weird bars and volumes each time I try to switch over?
I tried resetting the database but hasn’t made any difference. Just wondered if it’s me or a NT thing.
If you change Settings → Market Data → Global Merge Policy → from “Merge back adjusted” to “Merge non back adjusted” does this resolve this issue for you? Or maybe another merge setting?