Hi,
Can someone please help me understand this?
Suppose on 1st jan'15, there were 1000 "Total Traded Quantity" of Company A.
The delivery Quantity that day was 300 Shares.
1) So, what happens with the rest 700 shares?
2) Suppose I buy 200 shares intraday in morning and the trade get squared off in afternoon automatically, then it means i Sold forcefully, but Who bought? I mean who is the owner of those 200 shares after they are Squred off?
3) In this example can we say the Real / True supply was 1000 Shares but Demand was Only 300 Shares? OR is it like that the Real/ True Supply was 300 shreas??
Please help me understand this.
Can someone please help me understand this?
Suppose on 1st jan'15, there were 1000 "Total Traded Quantity" of Company A.
The delivery Quantity that day was 300 Shares.
1) So, what happens with the rest 700 shares?
2) Suppose I buy 200 shares intraday in morning and the trade get squared off in afternoon automatically, then it means i Sold forcefully, but Who bought? I mean who is the owner of those 200 shares after they are Squred off?
3) In this example can we say the Real / True supply was 1000 Shares but Demand was Only 300 Shares? OR is it like that the Real/ True Supply was 300 shreas??
Please help me understand this.