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Hi all,
I'm a new user. (Win98, V3.30) Can anyone help with these questions:
1. When the buy/sell criteria are satisfied, at what price does
Amibroker buy/sell and on what day?
I'd like to set up a buy/sell simulation along the lines of:
Find when the close has been over the moving average for 2 days in a
row, then buy at the high (or the low or the close) on the 3rd day.
2. The ASX files discussed in earlier posts have multiple lines of
data for the same stock ticker eg for ANZ:
"ANZ","XXY","AUSTRALIA & NZ BANK",05-Apr-
2000,4630.000,4630.000,4630.000,4630.000,8
"ANZ","XXZ","AUSTRALIA & NZ BANK",03-Feb-
2000,4755.000,4755.000,4755.000,4755.000,5
"ANZ",,"AUSTRALIA & NZ BANK",23-Jun-
2000,12.180,12.285,12.170,12.290,2843681
I only want the last one, but I can't see how AMIBROKER's ascii
import can distinguish between all other other ANZ data?
If you have mulyiple data with the same date for one ticker, what
happens then
Regards
Steve
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