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Enyereibe Paul chukwudi
Enyereibe Paul chukwudi
Asked: May 3, 20262026-05-03T08:45:00+00:00 2026-05-03T08:45:00+00:00In: INVESTING & WEALTH BUILDING

Why Are My GTCO Shares Showing Separately on My Brokerage App in Nigeria?

I bought Gtco stock 3 different times. I expected all to be in one but when I open my brokerage app I saw them differently. My question is isn’t it supposed to be in one. Like I bought day one 20 unit, day two 50 units and day three 100 units. Isn’t it supposed to show in the brokerage app as gtco 170 units?

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  1. Ochoyoda
    Ochoyoda Educator
    2026-05-03T13:20:31+00:00Added an answer on May 3, 2026 at 1:20 pm

    Short answer: Yes — in the end it should reflect as one total holding (170 units). But what you’re seeing right now is normal, not a problem. Let me break it down properly so you understand what’s happening. 🔍 Why your Guaranty Trust Holding Company shares are showing separately When you buy sharesRead more

    Short answer: Yes — in the end it should reflect as one total holding (170 units).
    But what you’re seeing right now is normal, not a problem.
    Let me break it down properly so you understand what’s happening.
    🔍 Why your Guaranty Trust Holding Company shares are showing separately
    When you buy shares on different days:
    Each purchase is recorded as a separate transaction (lot)
    Each lot may have:
    Different price
    Different trade date
    Different settlement status
    So your app may display:
    20 units (Day 1)
    50 units (Day 2)
    100 units (Day 3)
    👉 This is called position lots tracking
    🧠 Two ways apps display holdings
    1. Transaction view (what you’re seeing)
    Shows:
    Each purchase separately
    Useful for tracking profit/loss per trade
    2. Portfolio summary (what you expected)
    Shows:
    Total = 170 units
    Average price
    Total value
    👉 Most good apps have both views
    ⚠️ Important: Settlement timing (T+2 rule in Nigeria)
    On the Nigerian Exchange:
    Trades take about 2 business days (T+2) to fully settle
    Before settlement:
    Shares may appear separately or “pending”
    So if you just bought recently, give it time.
    🧾 What actually matters (this is key)
    At the backend (CSCS system):
    All your shares are merged under your CHN
    You own 170 units total, regardless of how the app displays it
    🔢 Example of how it should look eventually
    After everything settles, your app should show something like:
    GTCO → 170 units
    Avg price → (blended from all your buys)
    🚨 When to worry (rare cases)
    You should only be concerned if:
    After 3–5 working days, they are still not aggregated
    Your CSCS statement doesn’t reflect total units
    Or units are missing entirely
    ✅ What you should do now
    Check for a “portfolio summary” or “holdings” tab
    Wait 2–3 business days if purchases are recent
    If still separated:
    Contact your broker
    Or request your CSCS statement
    💡 Pro tip (this will help you going forward)
    Seeing separate entries is actually useful:
    Helps you know which buy made profit or loss
    Helps you decide when to sell specific batches
    Bottom line
    Nothing is wrong
    You own all 170 shares
    It’s just a display + settlement issue

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    Ochoyoda added an answer From what you've described, I don't think you need to… July 29, 2026 at 7:35 am

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