I detected a possible bug running the money management simulation. I selected the "Risk fixed % of account: 1.0%, 1.0 lots, 100 max lots" and run the scenario. The equity chart showed one trade with a huge profit compared with the original simulation. When I looked this specific trade with huge profit, the lot size is very high compared to the previous trades. I attached the original and the simulated scenario. The trade that a suspect is the number 183 with a lot size of 7.49. As we can see, the lot size of this trade is very high from the previous.