Using the unique command, I can easily get a list of unique tickers from my raw daily stock data. Which results in:
my.table <- unique(my.frame1[,5]) > my.table  NPN BIL CFR IMP FSR SHF SHP REI INP OML REM ABL AGL SAB WHL BTI MMI RMI PIK TRU INL SPP CLS  SBK PPC IPL SOL ASA RMH MTN ANG EXX DSY NED SLM AVI KIO VOD GFI APN 40 Levels: ABL AGL ANG APN ASA AVI BIL BTI CFR CLS DSY EXX FSR GFI IMP INL INP IPL KIO ... WHL
However, I now loop through the list to do a few basic calcs. I am trying to assign the ticker code to each trading day, but the observation in the list do not interact with my data as expected:
> code <- my.table > code  BIL 40 Levels: ABL AGL ANG APN ASA AVI BIL BTI CFR CLS DSY EXX FSR GFI IMP INL INP IPL KIO ... WHL > my.daily <- my.daily[,3:6] > my.daily[,1] <- code > my.daily my.xts...1..Low my.xts...1..Close VWAP SIDE 2011-08-31 7 23765 23744.30 1 2011-09-08 7 22876 23056.72 1 2012-02-14 7 25050 25230.52 -1 2012-07-25 7 23480 23591.01 -1 2013-05-12 7 26818 26737.65 -1
Now I would have expected the first column in my xts object to be "BIL", as per the value of code above.
What am I missing please?