For instance my last trade of the day was a short at 97.11 & buy-to-cover at 97. Looks good on the chart, but in Control Center it says short at 97.11 & buy-to-cover at 95.85.
How do I fix the data? Thanks.
(This is simulator, CQG, AMP, CL 07-13 contract, Merge-Back Adjusted).

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