I was told there was no compliance issue. My guess is that since I applied for a new IRA account under the same login, all my accounts under this login got impacted when new account was rejected. so far as I was told, IT is investigating.
compliance can block your trading, but should not block account management. I was applying for a traditional ira account, just got a deny email citing management decisión when i called to ask since i have a feeling it is related.
Looks like I said this prematurely. I still donot have access to account management. Only can login TWS that doesnot have live market data and can only close out existing positions.
Update, called six times today. i still have no access to tws or account management. Was told not really a compliance issue. Now i am at mercey how soon ib progammer can look at and solve the problem.
Called last night and have the password /security code reset and still have no luck. Called this morning, was told some issue with compliance. Shouldnot compliance call me first before just block my access?! also what's the point to block access to Account Management. Both CSRs said to call me...
I entered a buy of ES, attached a pair-trade of sell 2 Feb 1100 call and modified limit price to 24 as the default limit price didnot seem valid. After I came back from work, found it executed at 22.50. :confused: