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Wednesday, September 16, 2020 12:43:06 PM
The "seq" and the delays in reporting only happen when there is a consorted effort to close the PPS at $0.000001 after a $0.000001 trade, no matter how many buys at $0.0001 happen thereafter.
Keeping track of which MM's fill those "seq" trades immediately on the client/broker side, but delay the reporting in order to "justify" a "seq" trade...
Tic Toc
Rub-A-Dub-Dub…Three perps in a tub…The broker, the banker, and the counterfeit equity maker!!!
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