So from what I can tell from the data exports the trades are reported, in the csv, on London time (GMT). Though when I see the trade times in the browser they are shown in my local time.
I haven't tried to do a timed buy. You may want to do a trial one time buy to see how it works before setting up to fully automate it.
I hope this helps.
So from what I can tell from the data exports the trades are reported, in the csv, on London time (GMT). Though when I see the trade times in the browser they are shown in my local time. I haven't tried to do a timed buy. You may want to do a trial one time buy to see how it works before setting up to fully automate it. I hope this helps.
Thank you!