I'm probably doing something really dumb, but I'm not sure.
My charts shows the daily range (pit hours) between 101.23 to 102.69.
But if I plot trade executions or look at them in Control Center I have executions outside of the daily range. For instance it says I bought 5 contracts at 102.88 at 8:58:55 Pacific Time. It never traded that high. I have all kinds of trades like that. They don't match up with the charts.
I'm pretty sure I'm doing something really dumb, but can you help me figure it out?
Everything says CL 04-12 (charts, order entry, control center).
I'm just sim trading. Using CQG.
Thanks.
Comment