Hello.
I have different prices when export H1 and H4 timeframes at Sunday. I export data with FLAT filtering (weekend or all). Data between H1 and H4 are inconsistent and give me wrong results when use it, becouse H4 timeframe contains FLAT data (probably higher timeframes too).
When I export H1 data, I receive for example at AUDJPY at 2012-09-09 this, notice max. ASK HIGH is 81.276
DATE, BID OHLCV, ASK OHLCV 2012-09-09 21:00:00,81.133,81.171,81.054,81.082,708.4,81.206,81.244,81.101,81.112,642.11 2012-09-09 22:00:00,81.088,81.264,81.088,81.138,2553.02,81.112,81.276,81.112,81.162,2463.14 2012-09-09 23:00:00,81.138,81.139,81.036,81.054,3612.15,81.162,81.162,81.054,81.07,3410.04
When I export H4 data, I receive this candle, notice ASK HIGH is 81.318
DATE, BID OHLCV, ASK OHLCV 2012-09-09 20:00:00,81.133,81.264,81.036,81.054,6873.57,81.206,81.318,81.054,81.07,6515.29
I found there are flat candles before 21:00, notice with 81.318 flat price
2012-09-09 20:00:00,81.318,81.318,81.318,81.318,0
Is it possible make H4 export right, especially when WEEKEND filtering is choosed, becouse price 81.318 must be filtered when I set WEEKEND FILTER....
Thank you
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