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Hi -
I was testing my system and found that several extraneous buys/sells
occurred, for no apparent reason. I opened a chart of the same commodity in
another workspace, and did not have this problem. So I began to run through
the price data settings to find out where the problem was, and saw that, on
the chart that had the extra, incorrect signals, Days Back was set to 5000,
whereas on the chart that did everything correctly, the setting was only
500. I'm sure this has been covered in the past, but why would this affect
my results? Doesn't seem to make much sense. Like that should matter.
Anyway, any answers y'all can provide would be great. Thanks!
BJ
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