if u buy n sell within 3 days....
2 options...they can NET it off.. (which I believe they do AUTOMATICALLY)
OR u cna ask them to not do it that way, and have it as an audit trail showing each transaction in full.
The buy order first will go thru (thus u need to have the money in the account by ettlement). THEN the sell order will go thru....a few days after it
so u have 2 options!
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