was just looking through course of sales for past 2 weeks - there are a few chi-x ones - whats interesting is they are all on the buy side - from what i can see. So what i mean is -- buys orders in the queue were getting processed as chi-x when sold into - any orders from off sceen buys straight into the sell stack are ASX. Could be sneaky moves - but who knows. Can distort broker data though
edit; Not enough volume to really be interesting to be honest though. Just exploring the idea