㈠ 下面通达信 选股公式 改为副图指标能看的,谢谢!
把KK、DD打开,就能在副图上看到。
腰线:=(MA(CLOSE,3)+MA(CLOSE,6)+MA(CLOSE,12)+MA(CLOSE,24))/4,;
KKA:=EMA(C-L,5) ;
顶线:=MA((C+REF(C,1)+REF(C,1))/3+KKA,5);
底线:=MA(REF(C,1)-KKA,5);
MA10:= MA(C,10);
MA20:= MA(C,20);
MA60:= MA(C,60);
BBA:=MA(C,2);
CCA:=MA(C,10);
DDA:=MA(C,20);
EEA:=EXIST(CROSS(BBA,CCA) AND CROSS(BBA,DDA),1);
RV:=(CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100;
RG:=(CLOSE-LLV(LOW,5))/(HHV(HIGH,5)-LLV(LOW,5))*100;
J0:=(HIGH+LOW)/2;
QJ:=EMA(J0,3);
J1:=IF(CLOSE>QJ,VOL,0);
J2:=IF(CLOSE<QJ,VOL,0);
BB:=MA(SUM(J1-J2,22),3);
累加:=21*BB+20*REF(BB,1)+19*REF(BB,2)+18*REF(BB,3)+17*REF(BB,4)+16*REF(BB,5)+15*REF(BB,6)+14*REF(BB,7)+13*REF(BB,8)+12*REF(BB,9)+11*REF(BB,10)+10*REF(BB,11)+9*REF(BB,12)+8*REF(BB,13)+7*REF(BB,14)+6*REF(BB,15)+5*REF(BB,16)+4*REF(BB,17)+3*REF(BB,18)+2*REF(BB,19)+REF(BB,20);
CC:=累加/(21+1)/21*2;
VAR3:=(BB-CC);
VAR4:=SMA(RV,3,1);
VAR5:=SMA(VAR4,3,1);
KK:EMA(SMA(RG,3,1),2),COLORFFFFFF;
DD:SMA(KK,3,1),COLOR00FFFF;
明月战神:腰线>O AND O>底线 AND C>顶线 AND C>MA20 AND C>腰线 AND EEA AND CROSS(VAR4,VAR5) AND CROSS(KK,DD),COLORGREEN;
㈡ 请高人把下面通达信超级短线副图公式中底部黄色箭头出现时改为选股公式
已测试,你可以用作副图自己对比验证一下,用了很简单的修改方式,结果一样。
VAR1:=(2*CLOSE+HIGH+LOW)/4;
VAR2:=EXPMA(EXPMA(EXPMA(VAR1,4),4),4);
J:=(VAR2-REF(VAR2,1))/REF(VAR2,1)*100, COLORSTICK;
D:=MA(J,3);
K:=MA(J,1);
V1:=EMA(CLOSE,60)-EMA(CLOSE,300);
V2:=EMA(V1,300);
V3:=(CLOSE-LLV(LOW,8))/(HHV(HIGH,8)-LLV(LOW,8))*100;
V6:=CLOSE/REF(CLOSE,3)>=1.1;
V7:=BACKSET(V6,3);
V8:=COUNT(V7,3)=1;
XG:V7 AND V8;
㈢ 请教资深牛人,如何改编超短王(底部,换手)副图指标变成条件选股指标,选出N日内买点出现的个股
1.最下面是我已经改好的公式,我用某券商的软件演示。你把它贴进公式管理器,然后选股。
2.我建议你只用今天(当日收盘后)的数据去选股,选出有买点的股票,然后导出到自选板块,记下当天的日期,连续追踪这个公式的有效性。
3.不要用我图中选中一段时间的数据,原因2楼已经说得很清楚了,未来函数的垢病,自动向前修复买卖点。按我第二步操作,就不会出现这种马后炮的情况,因为我已经用日期标记出现买点的时间。
4.总体来说这个公式还是不错的。整合了KDJ,MACD,还有其他一些原创公式,比较直观。
其实单用来选股的话,里面很多语句都用不上,最核心的只有zig函数。
虽说ZIG函数是未来函数,不见得不能用,关键是怎么用。它在判断转折点上还是具有意义的。
5.基本面反映的内在价值走向,技术面研究的是买卖时机,基本面最终是要反映在技术面上,公式无非是方便我们从海量数据里脱身,有的放矢。结合基本面技术面判断转折点,才是上策。
VAR3:=(CLOSE-MA(CLOSE,3))/MA(CLOSE,3)*100;
VAR4:=(CLOSE-MA(CLOSE,5))/MA(CLOSE,5)*100;
VAR5:=(CLOSE-MA(CLOSE,32))/MA(CLOSE,32)*100;
VAR6:=(VAR3+VAR4+VAR5)/3;
VAR7:=EMA(VAR6,5);
VAR8:=IF(VAR6<=-20,10,0);
VAR9:=HHV(VAR8,10);
VARA:=IF(VAR9ANDCROSS(MA(CLOSE,3),MA(CLOSE,5)),20,0);
VARC:=(ZIG(3,6)>=REF(ZIG(3,6),1))AND(REF(ZIG(3,6),1)<=REF(ZIG(3,6),2))AND(REF(ZIG
(3,6),2)<=REF(ZIG(3,6),3))AND(REF(ZIG(3,6),3)<=REF(ZIG(3,6),4));
VARD:=(ZIG(3,6)<=REF(ZIG(3,6),1))AND(REF(ZIG(3,6),1)>=REF(ZIG(3,6),2))AND(REF(ZIG
(3,6),2)>=REF(ZIG(3,6),3))AND(REF(ZIG(3,6),3)>=REF(ZIG(3,6),4));
SHOW:VARC=1;
㈣ 求一个通达信指标,副图的,红线是主力动向,绿线是散户,红线在底部上穿时会提示一个建仓信号,谢谢,,
DIFF := EMA(EMA(CLOSE,12) - EMA(CLOSE,26),5);
DEA := EMA(DIFF,9);
A1:DIFF;
A2:DEA;
MACDOK:=CROSS(DIFF,DEA) ;
MACD卖点:=CROSS(DEA,DIFF) ;
中间值:=(HHV(H,60)+LLV(L,60) )/2;
ZHANGFU:=(H-REF(C,1))/REF(C,1)*100;
MA3:=MA(C,3);
MA5:=MA(C,5);
MA10:=MA(C,10);
MA20:=MA(C,20);
MA25:=MA(C,25);
MA60:=MA(C,60);
MA90:=MA(C,90);
MA120:=MA(C,120);
A3:= (MA25-MA60)/MA60*100;
A4:= (MA25-MA90)/MA90*100;
A5:= (MA25-MA120)/MA120*100;
A6:=IF(C>=O,C,O);
A7:=(H-A6)/A6*100;
A8:=(H-REF(C,10))/REF(C,10)*100;
A9:=(H-REF(C,11))/REF(C,11)*100;
A10:=(H-REF(C,12))/REF(C,12)*100;
A11:=(H-REF(C,13))/REF(C,13)*100;
A12:=(H-REF(C,14))/REF(C,14)*100;
A13:=(H-REF(C,15))/REF(C,15)*100;
A14:=(H-REF(C,16))/REF(C,16)*100;
A15:=(H-REF(C,17))/REF(C,17)*100;
A16:=(H-REF(C,18))/REF(C,18)*100;
A17:=(H-REF(C,19))/REF(C,19)*100;
A18:=(H-REF(C,20))/REF(C,20)*100;
A19:=(H-REF(C,21))/REF(C,21)*100;
A20:=100;
A21:=A8<A20 AND
A9<A20 AND
A10<A20 AND
A11<A20 AND
A12<A20 AND
A13<A20 AND
A14<A20 AND
A15<A20 AND
A16<A20 AND
A17<A20 AND
A18<A20 AND
A19<A20;
B1:=30;
B2:=(L-REF(H,6))/REF(H,6)*100;
B3:=(L-REF(H,7))/REF(H,7)*100;
B4:=(L-REF(H,8))/REF(H,8)*100;
B5:=(L-REF(H,9))/REF(H,9)*100;
B6:=(L-REF(H,10))/REF(H,10)*100;
B7:=(L-REF(H,11))/REF(H,11)*100;
B8:=(L-REF(H,12))/REF(H,12)*100;
B9:=(L-REF(H,13))/REF(H,13)*100;
B10:=(L-REF(H,14))/REF(H,14)*100;
B11:=(L-REF(H,15))/REF(H,15)*100;
B12:=(L-REF(H,16))/REF(H,16)*100;
B13:=(L-REF(H,17))/REF(H,17)*100;
B14:=(L-REF(H,18))/REF(H,18)*100;
B15:=(L-REF(H,19))/REF(H,19)*100;
B16:=(L-REF(H,20))/REF(H,20)*100;
B17:=(L-REF(H,21))/REF(H,21)*100;
B18:=
B2<B1 AND
B3<B1 AND
B4<B1 AND
B5<B1 AND
B6<B1 AND
B7<B1 AND
B8<B1 AND
B9<B1 AND
B10<B1 AND
B11<B1 AND
B12<B1 AND
B13<B1 AND
B14<B1 AND
B15<B1 AND
B16<B1 AND
B17<B1
;
MID5 := MA(CLOSE,5);
UB5:=MID5+2*STD(CLOSE,5),COLORRED;
MID10 := MA(CLOSE,10);
UB10:=MID10+2*STD(CLOSE,10),COLORRED;
C1:=(H-REF(C,1))/REF(C,1)*100;
C4:=COUNT(C1>4.5,80 )>=5 AND COUNT(C1>3,60 )>=10;
D1:=MACDOK AND COUNT(MA60>REF(MA60,1),60)>=20 AND A3<10 AND C4 AND COUNT(A21,60)>=60 AND COUNT(B18,20)>=20 AND ZHANGFU>3.5 AND L<MA25 AND H >MA25;
D2:= COUNT(MA90>REF(MA90,1),90)>=30 AND A4<10 AND C4 AND COUNT(A21,90)>=90 AND COUNT(B18,20)>=20 AND ZHANGFU>3.5 AND L<MA25 AND H >MA25;
D3:= COUNT(MA120>REF(MA120,1),120)>=30 AND A5<10 AND C4 AND COUNT(A21,120)>=120 AND COUNT(B18,20)>=20 AND ZHANGFU>3.5 AND L<MA25 AND H >MA25;
横盘突破 := D1 OR D2 OR D3 AND C>O;
买入:=横盘突破 ;
FF:= (H - REF(C,BARSLAST(买入)) ) / REF(C,BARSLAST(买入) ) *100;
E3:= FF >15 AND BARSLAST(买入)<30 AND CROSS(DEA,DIFF);
E2:= FF >15 AND BARSLAST(买入)<30 AND UB5 <REF(UB5,1) AND REF(UB5,1) >=REF(UB5,2) AND REF(UB5,2) >=REF(UB5,3) AND UB10 >=REF(UB10,1) AND REF(UB10,1) >=REF(UB10,2);
减仓:=E3 OR E2;
卖出:= FF<-20 AND BARSLAST(买入)<30 AND CROSS(DEA,DIFF);
DRAWTEXT(买入 AND COUNT(买入,30)==1,DIFF+0.3,'建仓'),COLORRED;
DRAWICON( 买入 AND COUNT(买入,30)==1 ,DIFF,1);
DRAWTEXT( 减仓 ,DIFF-0.3,'减仓'),COLORGREEN;
DRAWICON( 减仓 ,DIFF,2);
DRAWTEXT( 卖出 ,DIFF+0.3,'卖出'),COLORGREEN;
㈤ 什么是主图指标,什么是副图指标
你打开K线图。
有日K线的图就是主图,而主图指标就是显示在那里的。
而副图指标就是现在是日K线图最下面的图里面的,比如KDJ,MACD,这些就是副图指标。
㈥ 请高手帮忙将副图指标公式改为选股公式,谢谢!!!
VAR2:=LLV(LOW,10);
VAR3:=HHV(HIGH,25);
动力线:= EMA((CLOSE-VAR2)/(VAR3-VAR2)*4,4);
底部:=0.2;
FILTER(CROSS(动力线,底部),20);
㈦ 求通达信副图指标,谢谢
指标确实是迷惑人的一剂毒药,主力就是利用指标达到欺骗广大的散户的目的,做股版票还是看百年经典理论权趋势理论!也就是道氏理论!按趋势做永远不会错!底部抬高,顶部抬高,运行超过十个交易日就算短期上升趋势形成,不信可以参与大盘最近的走势,从2319点数超过十个交易日,
㈧ 副图指标怎么看
对导入的指标必须在K线图中选择出来,才能观看。
㈨ 求通达信副图指标
DIF:=EMA(CLOSE,12)-EMA(CLOSE,26);
DEA:=EMA(DIF,9);
MACD:=(DIF-DEA)*2;
这类图形,是抄需要多个公式合并一起编写出来的。你想要这样的效果,
需要把想组合一起的公式源码公式发出来。