Possible issue with EA automatic validation failure when publishing the product for MT5

 

Hi,
I am not able to publish my EA for MT5 platform because of automatic validation failure but I am not able to reproduce the error at my end.

Can someone please help me understand why the validation script is failing.

Thanks very much for your help,
-Soumitra Dan (Seller)
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Error:- Automatic validation fails with following errors,
But works perfectly at my end when tested with latest MT5 terminal on 2 different computers and 2 different MT5
demo netting accounts.
Don't understand why the automatic validation script is failing
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<Deleted>
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test on EURUSD,H1 (netting)
 2019.04.01 00:02:00   failed buy limit 1 EURUSD at 1.12325 [Invalid price]
 2019.04.01 17:00:00   failed sell limit 1 EURUSD at 1.12347 [Invalid price]
 2019.04.01 21:00:00   failed sell limit 1 EURUSD at 1.12078 [Invalid price]
 2019.04.01 23:00:00   failed sell limit 1 EURUSD at 1.12098 [Invalid price]
 2019.04.02 01:00:00   failed sell limit 1 EURUSD at 1.12018 [Invalid price]
 2019.04.02 03:00:00   failed sell limit 1 EURUSD at 1.12047 [Invalid price]
 2019.04.02 15:00:00   failed sell limit 1 EURUSD at 1.12009 [Invalid price]
 2019.04.02 19:00:00   failed sell limit 1 EURUSD at 1.11860 [Invalid price]
 2019.04.10 13:00:00   failed buy limit 1 EURUSD at 1.12785 [Invalid price]
.... etc.
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Following is a capture from of successful testing at my end,
Client Ver 5.00 build 2668, Nov 3 2020

Successful Strategy testing:-
EURUSD, H1, 2019/4/1 to 2019/5/15, "Every tick":-
Log from strategy testing,

KF    0    19:00:32.254    Core 1    2019.04.01 00:00:00   buy limit 0.23 EURUSD at 1.12325 (1.12258 / 1.12325 / 1.12258)
GG    0    19:00:32.254    Core 1    2019.04.01 00:00:00   CTrade::OrderSend: buy limit 0.23 EURUSD at 1.12325 [done]
NO    0    19:00:32.254    Core 1    2019.04.01 00:59:57   order [#2 buy limit 0.23 EURUSD at 1.12325] triggered
LP    0    19:00:32.254    Core 1    2019.04.01 00:59:57   deal #2 buy 0.23 EURUSD at 1.12325 done (based on order #2)
LR    0    19:00:32.254    Core 1    2019.04.01 00:59:57   deal performed [#2 buy 0.23 EURUSD at 1.12325]
OI    0    19:00:32.254    Core 1    2019.04.01 00:59:57   order performed buy 0.23 at 1.12325 [#2 buy limit 0.23 EURUSD at 1.12325]
QK    0    19:00:32.254    Core 1    2019.04.01 00:59:58   position modified [#2 buy 0.23 EURUSD 1.12325 sl: 1.07325 tp: 1.12725]
OD    0    19:00:32.254    Core 1    2019.04.01 00:59:58   CTrade::OrderSend: modify EURUSD (sl: 1.07325, tp: 1.12725) [done]
HD    0    19:00:32.254    Core 1    2019.04.01 17:00:00   instant sell 0.23 EURUSD at 1.12347 (1.12347 / 1.12355 / 1.12347)
RK    0    19:00:32.254    Core 1    2019.04.01 17:00:00   deal #3 sell 0.23 EURUSD at 1.12347 done (based on order #3)
KQ    0    19:00:32.254    Core 1    2019.04.01 17:00:00   deal performed [#3 sell 0.23 EURUSD at 1.12347]
MP    0    19:00:32.254    Core 1    2019.04.01 17:00:00   order performed sell 0.23 at 1.12347 [#3 sell 0.23 EURUSD at 1.12347]
RR    0    19:00:32.254    Core 1    2019.04.01 17:00:00   CTrade::OrderSend: instant sell 0.23 EURUSD at 1.12347 [done at 1.12347]
RJ    0    19:00:32.254    Core 1    2019.04.01 17:00:00   sell limit 0.23 EURUSD at 1.12347 (1.12347 / 1.12355 / 1.12347)
MD    0    19:00:32.254    Core 1    2019.04.01 17:00:00   CTrade::OrderSend: sell limit 0.23 EURUSD at 1.12347 [done]
CF    0    19:00:32.254    Core 1    2019.04.01 21:00:00   sell limit 0.23 EURUSD at 1.12078 (1.12078 / 1.12086 / 1.12078)
KH    0    19:00:32.254    Core 1    2019.04.01 21:00:00   CTrade::OrderSend: sell limit 0.23 EURUSD at 1.12078 [done]
PQ    0    19:00:32.254    Core 1    2019.04.01 21:59:58   order [#5 sell limit 0.23 EURUSD at 1.12078] triggered
RP    0    19:00:32.254    Core 1    2019.04.01 21:59:58   deal #4 sell 0.23 EURUSD at 1.12078 done (based on order #5)
MM    0    19:00:32.254    Core 1    2019.04.01 21:59:58   deal performed [#4 sell 0.23 EURUSD at 1.12078]
FI    0    19:00:32.254    Core 1    2019.04.01 21:59:58   order performed sell 0.23 at 1.12078 [#5 sell limit 0.23 EURUSD at 1.12078]
KD    0    19:00:32.254    Core 1    2019.04.01 21:59:59   position modified [#5 sell 0.23 EURUSD 1.12078 sl: 1.17077 tp: 1.11677]
OD    0    19:00:32.254    Core 1    2019.04.01 21:59:59   CTrade::OrderSend: modify EURUSD (sl: 1.17077, tp: 1.11677) [done]
IJ    0    19:00:32.254    Core 1    2019.04.02 13:00:00   position modified [#5 sell 0.23 EURUSD 1.12078 sl: 1.12047 tp: 1.11677]
EF    0    19:00:32.254    Core 1    2019.04.02 13:00:00   CTrade::OrderSend: modify EURUSD (sl: 1.12047, tp: 1.11677) [done]
MO    0    19:00:32.254    Core 1    2019.04.02 13:59:57   stop loss triggered #5 sell 0.23 EURUSD 1.12078 sl: 1.12047 tp: 1.11677 [#6 buy 0.23 EURUSD at 1.12047]
MF    0    19:00:32.254    Core 1    2019.04.02 13:59:57   deal #5 buy 0.23 EURUSD at 1.12047 done (based on order #6)
QL    0    19:00:32.254    Core 1    2019.04.02 13:59:57   deal performed [#5 buy 0.23 EURUSD at 1.12047]
IR    0    19:00:32.254    Core 1    2019.04.02 13:59:57   order performed buy 0.23 at 1.12047 [#6 buy 0.23 EURUSD at 1.12047]
OO    0    19:00:32.254    Core 1    2019.04.02 15:00:00   sell limit 0.23 EURUSD at 1.12009 (1.12009 / 1.12017 / 1.12009)
OQ    0    19:00:32.254    Core 1    2019.04.02 15:00:00   CTrade::OrderSend: sell limit 0.23 EURUSD at 1.12009 [done]
NJ    0    19:00:32.254    Core 1    2019.04.02 15:59:58   order [#7 sell limit 0.23 EURUSD at 1.12009] triggered
RI    0    19:00:32.254    Core 1    2019.04.02 15:59:58   deal #6 sell 0.23 EURUSD at 1.12009 done (based on order #7)
OD    0    19:00:32.254    Core 1    2019.04.02 15:59:58   deal performed [#6 sell 0.23 EURUSD at 1.12009]
FP    0    19:00:32.254    Core 1    2019.04.02 15:59:58   order performed sell 0.23 at 1.12009 [#7 sell limit 0.23 EURUSD at 1.12009]
QS    0    19:00:32.254    Core 1    2019.04.02 15:59:59   position modified [#7 sell 0.23 EURUSD 1.12009 sl: 1.17009 tp: 1.11609]
QM    0    19:00:32.254    Core 1    2019.04.02 15:59:59   CTrade::OrderSend: modify EURUSD (sl: 1.17009, tp: 1.11609) [done]
NN    0    19:00:32.254    Core 1    2019.04.03 10:59:58   order [#4 sell limit 0.23 EURUSD at 1.12347] triggered
ME    0    19:00:32.254    Core 1    2019.04.03 10:59:58   deal #7 sell 0.23 EURUSD at 1.12347 done (based on order #4)
QG    0    19:00:32.254    Core 1    2019.04.03 10:59:58   deal performed [#7 sell 0.23 EURUSD at 1.12347]
MS    0    19:00:32.254    Core 1    2019.04.03 10:59:58   order performed sell 0.23 at 1.12347 [#4 sell limit 0.23 EURUSD at 1.12347]
DO    0    19:00:32.254    Core 1    2019.04.03 10:59:58   position modified [#7 sell 0.46 EURUSD 1.12178 sl: 1.17178 tp: 1.11778]
HQ    0    19:00:32.254    Core 1    2019.04.03 10:59:58   CTrade::OrderSend: modify EURUSD (sl: 1.17178, tp: 1.11778) [done]
RN    0    19:00:32.254    Core 1    2019.04.10 13:00:00   instant buy 0.46 EURUSD at 1.12785 (1.12777 / 1.12785 / 1.12777)
EN    0    19:00:32.254    Core 1    2019.04.10 13:00:00   deal #8 buy 0.46 EURUSD at 1.12785 done (based on order #8)
KS    0    19:00:32.254    Core 1    2019.04.10 13:00:00   deal performed [#8 buy 0.46 EURUSD at 1.12785]
LE    0    19:00:32.254    Core 1    2019.04.10 13:00:00   order performed buy 0.46 at 1.12785 [#8 buy 0.46 EURUSD at 1.12785]
CG    0    19:00:32.254    Core 1    2019.04.10 13:00:00   CTrade::OrderSend: instant buy 0.46 EURUSD at 1.12785 [done at 1.12785]
GK    0    19:00:32.254    Core 1    2019.04.10 13:00:00   buy limit 0.16 EURUSD at 1.12785 (1.12777 / 1.12785 / 1.12777)
IQ    0    19:00:32.254    Core 1    2019.04.10 13:00:00   CTrade::OrderSend: buy limit 0.16 EURUSD at 1.12785 [done]
PL    0    19:00:32.254    Core 1    2019.04.10 13:59:58   order [#9 buy limit 0.16 EURUSD at 1.12785] triggered
GM    0    19:00:32.254    Core 1    2019.04.10 13:59:58   deal #9 buy 0.16 EURUSD at 1.12785 done (based on order #9)
RD    0    19:00:32.254    Core 1    2019.04.10 13:59:58   deal performed [#9 buy 0.16 EURUSD at 1.12785]
EF    0    19:00:32.254    Core 1    2019.04.10 13:59:58   order performed buy 0.16 at 1.12785 [#9 buy limit 0.16 EURUSD at 1.12785]
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Reason: