RE: Wft!!!!!! What's happening22 Jun 2024 21:59
Philsum
London South East calculate the trade type based on the trade price being higher or lower than the mid price at the time of the transaction.
Sometimes this calculation does not work when balancing up the buys verses sells at the end of the day, or the price is the opposite side of the mid price. Therefore, London South East are unable to calculate the type of trade this is at all, or the calculation shows the trade as the wrong type. IE- a buy instead of a sell or a sell instead of a buy.
Hence, unknown.
Delayed trades happen from time to time. There are various reasons for this, but the London Stock Exchange choose not to explain why to London South East.
I know you're wary of my posting, having previously questioned my 1000 plus posts.
I hope you don't find this post strange.