when we take data through API for example regarding POXBYZ0 and ask for settlement price and volume after closing of TGE ( i.e. 18.00 or 22.00), we receive the volume related to previous day. Moreover Eikon API send data regarding settlement of this product on Sundays when the TGE is closed - in this case there is the price from Friday without volume. How to make the query correct to get price and volume related to the same date.