If your plugin is NFA, there is no need for a special brokerCommand. In that case, BrokerBuy2 is being used to change your position from A to B.
Anyways, my question is about Zorro scripting.
Question #3: I see that LotsPool is read-only. How often is it updated? Is there a way to force this value to update?
Question #4: On that note, how exactly does Zorro calculate the size of its pool? I don't suppose it iterates through the trade structs in some fashion?