Trading212 Customer Support,
I think there is an issue with the current contract notes being issued. To give an example, I sold 5000 shares yesterday on a limit order. The 5000 shares were sold in 3 split transactions, partially filled each time (i.e. 400 1st partial fill, 2600 2nd partial fill, 2000 3rd partial fill).
The contract note received today, has 3 lines incorrectly reporting 5000 quantity for each line and therefore the quantity summarised as -15000 instead of -5000 and same with the transaction amount. This has happened in past as well for all partially filled transactions.
Is it only my account specific or happens to others as well. Can this be fixed.