WEBVTT

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A problem is easier to handle when you name it accurately. Insufficient

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funds, unavailable access, and an uncertain response are different situations. They should

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not all lead to another click. Start by staying in the same

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Paper context and recording what you attempted: the pair, action, quantity, approximate

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time, and any request or error information the app provides.

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For insufficient funds, compare the requested amount with cash available in that

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context. Check that you did not enter a coin quantity when you

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intended a dollar value. Other holdings, reservations, or activity may explain why

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the balance differs from your expectation. Do not switch to Live or

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change account settings just to make a practice request pass.

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For denied access or an unavailable trading action, read the actual message.

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A visible market does not establish permission to submit an order, and

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access to account information does not automatically include trading capability. Return to

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the connection and access checks from the earlier chapter if needed. Do

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not work around a disabled control or assume that reconnecting will safely

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resolve an already submitted request.

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For a timeout or a lost connection, treat the outcome as unknown

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until you have evidence. The service may have received the request even

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though the response did not reach your screen. Check the same account's

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holdings and transactions, allow time for updates, and compare the quantity and

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time with your notes. An empty or stale view by itself does

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not prove that nothing happened.

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The current buy route does not have the same saved-request recovery control

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as the position sell dialog. Do not invent a fresh buy to

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test whether the earlier one worked. If you cannot reconcile it, stop

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and use the app's support route with the relevant non-secret details. An

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unresolved request is a reason to investigate, not a reason to increase

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the number of requests.

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For a saved position sale, return to the original login, mode, account,

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and position. Use Check status slash retry same request when the dialog

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offers it. Reopening the saved flow does not automatically send another order.

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Do not clear browser storage to erase the saved request or switch

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identities to bypass a recovery block. Resolve the existing request before considering

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another sale.

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Finish with a complete Paper review, either from your own confirmed practice

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or from the demonstration. Identify the starting context and pair. Explain the

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requested buy quantity, show the resulting evidence, then follow a sale from

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that specific position through its confirmed result. Check what remains and whether

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automation was changed. Use example problem screens rather than deliberately creating failed

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or duplicate trades.

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You have completed this chapter when you can explain the request and

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the evidence in plain language. I chose this market, asked for this

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amount, received this result, and checked these records. If anything is unresolved,

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say exactly what still needs confirmation. Next, Understanding Your Cash will help

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you read locked, tradable, and reserve-related figures so the account totals become

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just as clear as the actions you now know how to review.
