Bitcoin futures data, Crypto Futures: How They Performed This Year?

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Upon transmission at 10 am ET the order begins to execute2but in very small portions and over a very long period of time. At 2 pm ET the order is canceled prior to being executed in full.

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As a result, only a portion of the order is filled i. Account C which currently has a ratio of 0.

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Upon transmission at 11 am ET the order begins to be filled3 but in very small portions and over a very long period of time. At 1 pm ET the order is canceled prior being executed in full. As a result, only a portion of the order is executed i.

Upon transmission at 11 am ET the order begins to be executed2 but in very small portions and over a very long period of time. At 12 pm ET the order is canceled prior bitcoin futures data being executed in full.

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In this case, since the fill size is 3, we skip the rounding fractional amounts down. For the initially submitted order if one or more subaccounts are rejected by the credit checking, we reject the whole order. This is the default handling mode for all orders which close a position whether or not they are also opening position on the other side or not.

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The calculation are slightly different and ensure that we do not start opening position for one account if another account still has a position to close, except in few more complex cases.

Other factor affects allocations: 1 Mutual Fund: the allocation has two steps. The first execution report is received before market open. Later, when second execution report which has the NetAssetValue comes, we do the final allocation based on first allocation report.

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