I am seeing discrepancies in the "LAST" price. The chart and Time and Sales are showing one thing, the Detailed Quote and Portfolio are showing another. Current examples, with Portfolio number first, then chart number are:
XMSR - 7.78 vs 7.48
NOVS - 1.27 vs 1.15
At 2:40 Central Time
This is not something that I have noticed before, and the majority of what I see is correct.
XMSR - 7.78 vs 7.48
NOVS - 1.27 vs 1.15
At 2:40 Central Time
This is not something that I have noticed before, and the majority of what I see is correct.
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