Did you not read the post about the T-trade PPS representing the average pps minus the commission? I wasn't referring to the number of shares!!! Geesh
And for the comment that was made about seeing t-trade blocks showing up as BUYS The reason that happens is the pps was higher during the day when shares were actually sold and the pps lower at the close resulting in the block of shares average pps showing up in the BUY column.