WEBVTT

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A position control should begin with a clear intention. Are you opening

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history to understand the holding, or reviewing an amount you might sell?

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For this lesson, we will inspect a fictional Paper review and stop

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before submission. You can learn what each field means without sending an

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order. On your own account, remain in read-only inspection if you are

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only following the demonstration.

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Choose the intended position row before opening Sell. The review identifies the

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asset and indicates a Paper simulated order or a Live market order.

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Recheck that context inside the dialog, then read Owner or strategy, Account

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or connection, and Position ID. If any of those details do not

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match your intention, close the unsent review and investigate the correct holding.

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Read Owned, Available, and Reserved as separate quantity information. An owned amount

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is not always an amount that can all be included in a

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new request. Reserved quantity here refers to position availability; it should not

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be confused with the dollar Profit Reserve from the cash lesson. Follow

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the labels and any explanation or restriction in the review rather than

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forcing a larger amount into the field.

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You can enter a quantity or use the percentage controls. After using

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a shortcut, inspect the resulting number of units. Do not assume the

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percentage means that share of all your holdings, all owners of the

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coin, or your whole account value. This is a review for the

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selected position, with its own availability limits. The exact amount matters more

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than the convenience of the shortcut.

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Our demonstration begins with ten available example units and enters four units

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to sell. The review can show an estimated amount of proceeds and

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a remaining quantity. At twenty-two dollars per unit, the simple estimate is

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eighty-eight dollars, with six units remaining if four actually execute and nothing

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else changes. The price-based estimate is not a guaranteed final receipt, especially

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in a changing market.

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Review sale opens the confirmation stage. Read the quantity, asset, estimate, and

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mode again. Place sell order is the action that submits the request;

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reaching the review stage alone does not submit it. If the amount

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or context is wrong, use the available back or close controls before

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submission. Our teaching example stops at that boundary and does not ask

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you to make the trade.

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Selling part of one position is also different from stopping automation. Do

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not assume a position-level Sell action disables its strategy, cancels a subscription,

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or closes other positions. Broader portfolio or trading controls have their own

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scopes and confirmations. If your intention concerns the whole trading setup, a

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single row's review is not enough evidence that you are doing that

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broader task.

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Finish the practice by explaining what the unsent request would ask for:

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four units from this exact Paper position, with an estimated amount and

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a remaining quantity. Then close the review. If a real request had

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already been submitted, closing would not cancel it; you would follow its

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status and records. Being able to explain that difference is the key

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skill on this page.
