RE: This Board3 Nov 2020 14:08
The computer judges the buys and sells by their middle prices. If a buy was below the middle price then it would be labelled as a sell. Vice versa, if a sell was above the middle price then it would labelled as a buy. Therefore many of the reported trades were incorrectly labelled and that's why at the end of day, buys and sells don't add up, either a lot more sells than buys or a lot more buys than sell. We can just ignore all these buys and sells reports, since many of them were inaccurate.....