It wasn't a coincidence. My history of valid complaints, especially two big ones to be revealed without my name or ego involved, made the broker think that I came in to complain about DGRI. Now that I think about the DGRI T trades, I wonder what regulatory violation was made. The only thing that I picked up and said at the time was illegal were two specific trades. If those were part of a T trade, then that whole trade would have been improperly executed. This is a lot of supposition on my part.
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