RE: Afternoon shake10 May 2018 18:02
UKsteveg - I think we may have had them - they were the two trades, both reported late and both over 100K shares at 15:08 and 15:20
When you correctly take account of two Bed & ISA trades, both of 20K at 9:48 and 11:40 then you end up with the nett trade position being 262,000 more buys than sells.
if you do not correct for these Bed&ISA combined trades then you end up with a nett trade position of around 90,000 more SELLS than buys, which is wrong, but it is the starting point for every form of so-called 'technical analysis' that there is.