Wrong again, if you bid at the bid price, when mms give you shares at the bid price, it means you buy the shares on the bid sp but the trader information show you sell your shares....get it now! It's not hard to understand.
Let for example today volume of 4.4 million. On the trade information, it stated that 2.45M as a buy volume and 1.9M sell volume...
Out of those 4.4M it should showed all buy volume because those 1.9M sell volume is my shares that I buy today. So, I am stating that the trade information is not a corrected information to indicate whether the share volume is a buy or a sell....I hope you understand what I am trying to explain to you.