Would appreciate it if someone could explain how AA
deals with mutual fund data. I ask because I found out after hours of
banging my head against the wall that indicators produced incorrect results in
AA when using daily mutual fund data. Although all price fields are filled
with C, it is necessary to assign C to O, H, L a;and then all is OK. If a
weekly timeframe is used, this is not necessary. What's going
on?
Bill
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