How should a market center report under the Rule on an order that it receives and executes as riskless principal?
Related Questions
- Should a market centers monthly report encompass all trading days that fall within a calendar month, as opposed to settlement days that fall within the calendar month?
- How should a market center report under the Rule when the Consolidated BBO used to calculate the Rules statistics appears to be erroneous?
- How should a market center report on partial executions and partial cancellations of orders under the Rule?