Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2017-01-03 09:33:05 | SGYP | buy | $6.310 | long |
2017-01-03 09:35:15 | SGYP | sell | $6.400 | long |
2017-01-03 09:35:45 | SGYP | sell | $6.390 | long |
2017-01-03 09:36:15 | SGYP | sell | $6.360 | 0 |
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FYI, it looks like you probably have the time zone on the Import Trades page set incorrectly when you import these - note the executions are not lining up on the charts.