Hi Achiievers
One more query
Yesterday, after 3.15 I squared off many intraday and positional trades and I didnt get time to keep a note of it, in my copy. But after trading hours I copied the records of my trades, as XL.
At around midnight, after returning home, I opened NOW (rms view) and tried to tally and make a note of my trades and was stunned to find that the closing positions and trades were not tallying with my record.
For example
1. I squared off all my NF positions except 1 lot but it was showing 1 NF short instead of 1 lot long
2. I have 4 opened positions in a scrip and I squared off 1 lot but in RMS position it was showing opening balance as 3 lots and closing as 2 lots instead of 4 and 3 lots
I would like to know, why this is so.
PS
I will like to know whether anyone else also faced such a situation