① 求通達信頂底趨勢指標源碼
頂底趨勢指標(通達信)
此指標是我精心收藏的指標,無未來函數,真正的好指標。圖片演示在下面網址里.
趨勢:SMA(((CLOSE-LLV(LOW,28))/(HHV(HIGH,28)-LLV(LOW,28))*100),3,1) ,COLORGREEN;
STICKLINE(趨勢>50,趨勢,50,4,0),COLOR32329B;
STICKLINE(50>趨勢,趨勢,50,4,0),COLOR326400;
IF(趨勢>50, 趨勢,DRAWNULL), COLORRED;
RSV:=(CLOSE-LLV(CLOSE,9))/(HHV(CLOSE,9)-LLV(CLOSE,9))*100;
K:=SMA(RSV,3,1);
D:=SMA(K,3,1);
TYP:=(HIGH+LOW+CLOSE)/3;
CCI:=(TYP-MA(TYP,14))/(0.015*AVEDEV(TYP,14));
DIFF:=EMA(CLOSE,2)-EMA(CLOSE,55);
DEA:=EMA(DIFF,6);
MACD:=2*(DIFF-DEA);
轉點:=IF(K>D AND CCI>0 AND DIFF>DEA AND MACD>0,1,0);
STICKLINE(轉點=1,50,50,6,0),COLORYELLOW;
STICKLINE(轉點=0,50,50,6,0),COLORCYAN;
頂部:90,COLORYELLOW;
底部:10,COLORCYAN;
判斷:SMA(趨勢,3,1),COLORFF00FF, LINETHICK2;
IF( 趨勢>判斷,判斷,DRAWNULL), COLORYELLOW, LINETHICK2;
IF( 趨勢<判斷,判斷,DRAWNULL) ,COLORFFF000,LINETHICK2;
DRAWICON(CROSS(趨勢,判斷),判斷,1);
DRAWICON(CROSS(趨勢,頂部),頂部,2);
LC:= REF(CLOSE,1);
RSI:=SMA(MAX(CLOSE-LC,0),6,1)/SMA(ABS(CLOSE-LC),6,1)*100;
VAR1:=(HHV(HIGH,9)-CLOSE)/(HHV(HIGH,9)-LLV(LOW,9))*100-70;
VAR2:=SMA(VAR1,9,1)+100;
VAR3:=(CLOSE-LLV(LOW,9))/(HHV(HIGH,9)-LLV(LOW,9))*100;
VAR4:=SMA(VAR3,3,1);
VAR5:=SMA(VAR4,3,1)+100;
VAR6:=VAR5-VAR2;
短線1: IF(VAR6>45,VAR6-45,0),COLORA6B8C1;
VAR2Q:=REF(LOW,1);
VAR3Q:=SMA(ABS(LOW-VAR2Q),3,1)/SMA(MAX(LOW-VAR2Q,0),3,1)*100;
VAR4Q:=EMA(IF(CLOSE*1.3,VAR3Q*10,VAR3Q/10),3);
VAR5Q:=LLV(LOW,30);
VAR6Q:=HHV(VAR4Q,30);
VAR7Q:=IF(MA(CLOSE,58),1,0);
VAR8Q:=EMA(IF(LOW<=VAR5Q,(VAR4Q+VAR6Q*2)/2,0),3)/999*VAR7Q;
VR2:=REF(LOW,1);
VR3:=SMA(ABS(LOW-VR2),3,1)/SMA(MAX(LOW-VR2,0),3,1)*100;
VR4:=EMA(IF(CLOSE*1.3,VR3*10,VR3/10),3);
VR5:=LLV(LOW,30);
VR6:=HHV(VR4,30);
VR7:=IF(MA(CLOSE,58),1,0);
VR8:=EMA(IF(LOW<=VR5,(VR4+VR6*2)/2,0),3)/618*VR7;
VR9:=IF(VR8>100,100,VR8);
主力進場:STICKLINE(VR9>-150,0,VR9,3,0), , COLORFF00FF;
洗盤:IF(VR9<REF(VR9,1),VR9,0),COLORGREEN,NODRAW;
STICKLINE(VR9<REF(VR9,1),0,VR9,3,0),COLORGREEN;
短線獲利:STICKLINE(REF("KDJ.J",1)<0 AND "KDJ.J">0,60,25,2,0),COLORYELLOW;
VARK1:=(CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100;
VARK2:=REVERSE(VARK1);
VARK3:=SMA(VARK1,3,1);
逃頂:=CROSS(82,RSI);
STICKLINE( 逃頂,逃頂,20,5,0),COLORFF5500;
STICKLINE( 逃頂,逃頂,30,3,0),COLORFF8800;
STICKLINE( 逃頂,逃頂,30,2,0),COLORFFAA00;
STICKLINE( 逃頂,逃頂,30,1,0),COLORFFCC00;
D1:=(C+L+H)/3;
D2:=EMA(D1,6);
D3:=EMA(D2,5);
BBUY:=CROSS(D2,D3);
風險區:80,COLORFF85FF;
安全區:20,COLORYELLOW,POINTDOT;
天線:100,COLORFFFF00;
強弱線:50,COLORGREEN,POINTDOT;
DRAWICON(BBUY,(LOW *1),1);
VARR1:=SMA(MAX(CLOSE-REF(C,1),0),6,1)/SMA(ABS(CLOSE-REF(C,1)),6,1)*100;
DRAWICON(CROSS(82,VARR1),HIGH,15);
DRAWTEXT(CROSS(82,VARR1),35,'逃'),COLORYELLOW;
MAV:=(2*C+H+L)/4;
VAR9:=LLV(LOW,34);
VAR7:=HHV(HIGH,34);
SK:= EMA((MAV-VAR9)/(VAR7-VAR9)*100,13);
SD: EMA(0.667*REF(SK,1)+0.333*SK,2);
高拋:80, POINTDOT;
低吸:20, POINTDOT;
強弱分界:50, POINTDOT;
DRAWTEXT(CROSS(SD,16),低吸,'●主力'),COLORF0FF00,LINETHICK3;
② 通達信pbx指標源碼
通達信PBX 指標源碼如下
PBX1:(EMA(CLOSE,M1)+MA(CLOSE,M1*2)+MA(CLOSE,M1*4))/3;
PBX2:(EMA(CLOSE,M2)+MA(CLOSE,M2*2)+MA(CLOSE,M2*4))/3;
PBX3:(EMA(CLOSE,M3)+MA(CLOSE,M3*2)+MA(CLOSE,M3*4))/3;
PBX4:(EMA(CLOSE,M4)+MA(CLOSE,M4*2)+MA(CLOSE,M4*4))/3;
PBX5:(EMA(CLOSE,M5)+MA(CLOSE,M5*2)+MA(CLOSE,M5*4))/3;
PBX6:(EMA(CLOSE,M6)+MA(CLOSE,M6*2)+MA(CLOSE,M6*4))/3;
③ 通達信 SAR指標源碼
sar指標,也叫拋物線指標,基本的分析指標源碼:
VAR1:=SAR(10,2,20);
S:IF(VAR1>C,VAR1,DRAWNULL),COLORRED,CIRCLEDOT;
X:IF(VAR1
SS:=IF(C>REF(C,1)ANDREF(C,1)>=REF(C,2),1,IF(CREF(C,2)ANDREF(C,2)>REF(C,1),2,IF(CSM:=IF(REF(SS,1)>0ORREF(SS,1)<0,REF(SS,1),IF(REF(SS,2)>0ORREF(SS,2)<0,REF(SS,2),IF(REF(SS,3)>0ORREF(SS,3)<0,REF(SS,3),IF(REF(SS,4)>0ORREF(SS,4)<0,REF(SS,4),IF(REF(SS,5)>0ORREF(SS,5)<0,REF(SS,5),IF(REF(SS,6)>0ORREF(SS,6)<0,REF(SS,6),IF(REF(SS,7)>0ORREF(SS,7)<0,REF(SS,7),0)))))));
MC:IF(REF(SS,1)>0ORREF(SS,1)<0,B2,IF(SM>0,MIN(B1,B2),MAX(B1,B2))),COLORFF00FF;
STICKLINE(SS=1ORSM>=1ANDSS=0,B1,C,0.8,1),COLORRED;
STICKLINE(SS=-1ORSM<=-1ANDSS=0,B1,C,0.8,0),COLORFF9000;
STICKLINE(SS=2,B2,C,0.8,1),COLORRED;
STICKLINE(SS=-2,B2,C,0.8,0),COLORFF9000;
STICKLINE((SS=-1ORSS=-2)ANDSM>0,B2,B1,0.8,1),COLORRED;
STICKLINE((SS=1ORSS=2)ANDSM<0,B2,B1,0.8,0),COLORFF9000;
④ 通達信 大盤指數作副圖 指標編程代碼!!
選股指標中加入不選創業板股票其實沒有這個必要你只要先選股,選股以後對個股代碼進行排序凡是(300)開頭的一律刪除即可。
股市中最重要的投資方式就是:盡量選擇相對較低的價位買入,然後再選擇相對較高的價位拋出。任何試圖買在最低點或賣到最高點的投資行為,都是一種不理智的貪心表現,結果必然是面臨過早地買入或踏空的命運。
(4)通達信大盤趨勢線源碼擴展閱讀:
權威的證券報或營業部都會提供一些研究報告,為我們大大縮小了選股的范圍。以下是幾個必須的估值選股過程:
1、盡量選擇自己熟悉或者有能力了解的行業。報告中提到的公司其所在行業,有可能是我們根本不了解,或者即使以後花費很多精力也難以了解的行業,這類公司最好避免。
2、不要相信報告中未來定價的預測。報告可能會在最後提出未來二級市場的定價。這種預測是根據業績預測加上市盈率預測推算出來的,其中的市盈率預測,一般只是簡單地計算一下行業的平均值,波動性較大,作用不大。
3、客觀對待業績增長。業績預測是關鍵,考慮到研究員可能存在的主觀因素,應該自己重新核實每一個條件,直到有足夠的把握為止。
⑤ 通達信選股公式源碼
你好,通達信選股公式源碼如下。
次日漲停
W1:=C=HHV(C,20);
W2:=BARSLAST(W1);
W3:=IF(W2>0,REF(C,W2),REF(C,W2));
W4:=交叉(C,REF(W3,1));
W4和計數(W4,5)=1;
黃轉紫選股
差異:=EMA(DCLOSE,12)-EMA(DCLOSE,26);
DEA:=EMA(差異,9);
MACD:=(DIFF-DEA)*2;
紫柱:MACD<0和MACD>REF(MACD,1)和REF(MACD,1)低位金叉選股
差異:=EMA(DCLOSE,12)-EMA(DCLOSE,26);
DEA:=EMA(差異,9);
MACD:=(DIFF-DEA)*2;
低位金叉:交叉(差異,DEA)和差異<-0.1;
二次金叉選股
差異:=EMA(DCLOSE,12)-EMA(DCLOSE,26);
DEA:=EMA(差異,9);
MACD:=(DIFF-DEA)*2;
JCCOUNT:=計數(交叉(差異,數據包絡分析),BARSLAST(數據包絡分析>=0));
二次金叉:交叉(差異,DEA)和DEA<0,計數(JCCOUNT=2,21)=1;
絕地反彈
(1)
VAR1:=參考值(低,1);
VAR2:=SMA(ABS(低VAR1),13,1)/SMA(最大值(低VAR1,0),13,1)*100;
VAR3:=EMA(如果(關閉*1.2,VAR2*13,VAR2/13),13);
VAR4:=LLV(低,34);
VAR5:=HHV(VAR3,34);
VAR6:=如果(LLV(低,55),1,0);
VAR7:=EMA(如果(低)<=VAR4,(VAR3+VAR5*2)/2,0),3)/618*VAR6;
XL1:=MA(低,2)*0.96;
XL2:=MA(低,26)*0.85;
XL3:=REF(XL1,1)
XG:啟動>25;
(2)
倒退((參考(關閉,1)<參考(打開,1)和
關閉>打開和ABS(關閉參考(關閉,1))/關閉<0.002),2);
A2:=過濾器(A1<=V3,10);
ND資本<300000000
REF(V,1)=LLV(V,4)和V>=REF(V,1)
HHV(V,3)=參考(V,1)和HHV(V,5)=參考(V,1)和HHV(V,21)=參考(V,1)
和V>=REF(V,1)
01>0,T02>0;
1.三線粘合
M:=1;
M5:=MA(閉合,5);
M10:=MA(閉合,10);
M20:=MA(閉合,20);
K1:=最大值(最大值(M5,M10),最大值(M10,M20));
K2:=MIN(MIN(M5,M10),MIN(M10,M20));
A:=最大(M5,最大(M10,M20))/MIN(M5,最小(M10,M20))<1+0.03*M;
A1:=(K1/K2-1)<0.005;
A2:=(K1/K2-1)<0.005;
A3:=V>REF(V,1)*1.5和V>MA(V,5);
XG:A和A1,A2和A3,C>O和V>REF(V,1),資本<=300000000;
2.三條線粘合
N1:=5;N2:=10;N3:=20;M:=1;
MA1:=MA(C,N1);MA2:=MA(C,N2);MA3:=MA(C,N3);
A3:=V>REF(V,1)*1.5和V>MA(V,5);
最大值(MA1,最大值(MA2,MA3))/MIN(MA1,最小值(MA2,MA3))<1+0.01*M
C>O和V>REF(V,1)和財務(7)<=300000000
A3及資本<=300000000;
3.均線粘合
M:=1;
M5:=MA(閉合,5);
M10:=MA(閉合,10);
M20:=MA(閉合,20);
K1:=最大值(最大值(M5,M10),最大值(M10,M20));
K2:=MIN(MIN(M5,M10),MIN(M10,M20));
A:=最大(M5,最大(M10,M20))/MIN(M5,最小(M10,M20))<1+0.01*M;
A1:=(K1/K2-1)<0.005;
A2:=(K1/K2-1)<0.005;
A3:=V>REF(V,1)*1.5和V>MA(V,5);
XG:A和A1以及A2和A3;
3.金叉選股指標
快線:=均線(均線)(均線(收盤,2,2,2),;
慢線:=EMA(參考(快線,1),2);
A3:=V>REF(V,1)*1.5和V>MA(V,5);
交叉(快線,慢線) 和C>O和
五> =MA(V,21)和V>REF(V,1),資本<=300000000;
⑥ 通達信分時圖中 分時均價線黃線的源碼怎麼寫
均價:SUM(V*C,0)/SUM(V,0),COLORGREEN,LINETHICK2;
IF(均價<=REF(均價,1),均價,DRAWNULL),COLORGREEN,LINETHICK3;
IF(均價>=REF(均價,1),均價,DRAWNULL),COLORYELLOW,LINETHICK3;
DRAWTEXT(CURRBARSCOUNT=4,均價,'均'),COLORYELLOW,LINETHICK3;
DRAWNUMBER(CURRBARSCOUNT=2,均價,均價),COLORYELLOW,LINETHICK3;
(6)通達信大盤趨勢線源碼擴展閱讀:
分時均線的原理:
與K線圖上以每天收盤價作為統計依據的均線不同,均價是以盤口總成交額除以盤口總成交量的運算方式測算當前每一股的平均成交價,十分精確地統計出當前所有參與者的綜合持倉成本。因此,有了這條均價線,我們就可以在盤面做一些簡單的推理:
1.當股價持續在均價線上方運行時,表明市場預期較好,買盤踴躍,當天介入的大部分投資者都能賺錢,這是盤口強勢特徵;
2.當股價持續在均價線下方運行時,表明市場預期較差,賣盤踴躍,當天介入的大部分投資者都虧錢,屬弱勢特徵;
3.當均價線從低位持續上揚時,表明市場預期提高,投資者紛紛入場推進股價上漲,綜合持倉成本不斷抬高,對股價形成支撐;
4.當均價線從高位持續下挫時,表明市場預期較差,投資者紛紛離場迫使股價下跌,綜合持倉成本不斷下降,對股價形成壓制。
一般來說,昨天收盤價是今天盤口多空力量的分水嶺,如果開盤後半小時內均價線在昨天收盤價上方持續上揚,那麼,該股屬極強勢且當天收出中長陽的概率較大;開盤後半小時內均價線在昨天收盤價下方持續創新低,該股屬極弱勢且當天收出中長陰的概率較大。
均價線是超級短線實戰的一個重要研判工具,它與分時走勢交叉錯落,如影隨形,臨盤運用因人而異,特別當一輪極端炒作的主升浪行將結束之時,盤口拉高的股價突然一改強勢上攻個性,擊穿均價線後大幅回落,此後如果均價線失而復得,得而復失,則是超短線出局信號。
參考資料:網路-分時均線
⑦ 求通達信分時「買賣力道」源碼
通達信分時買賣力道指標公式股票軟體源碼如下:
A1:=(VOL/CLOSE)/3;
A2:=SUM((IF(((A1>0.29) AND (CLOSE>(REF(CLOSE,1)))),A1,0)),0);
A3:=SUM((IF(((A1>0.29) AND (CLOSE<(REF(CLOSE,1)))),A1,0)),0);
A4:=SUM((IF(((A1<0.29) AND (CLOSE>(REF(CLOSE,1)))),A1,0)),0);
A5:=SUM((IF(((A1<0.29) AND (CLOSE<(REF(CLOSE,1)))),A1,0)),0);
A6:=((A2+A3)+A4)+A5;
A7:=IF((ISLASTBAR=1),((100*A2)/A6),0);
A8:=((IF((ISLASTBAR=1),((100*A3)/A6),0)));
A9:=((IF((ISLASTBAR=1),((100*A4)/A6),0)));
A10:=((IF((ISLASTBAR=1),((100*A5)/A6),0)));
機構買盤:(A2),LINETHICK0;
機構賣盤:(A3),LINETHICK0;
散戶買盤:(A4),LINETHICK0;
散戶賣盤:(A5),LINETHICK0;
STICKLINE(機構買盤>0 AND 機構買盤>=機構賣盤 AND 機構買盤>=REF(機構買盤,1),20,20+100,1,0),COLORRED;
STICKLINE(機構賣盤>0 AND 機構賣盤>=機構買盤 AND 機構賣盤>=REF(機構賣盤,1),20,20+100,1,0),COLORWHITE;
STICKLINE(散戶買盤>0 AND 散戶買盤>=散戶賣盤 AND 散戶買盤>=REF(散戶買盤,1),-20,-20-100,1,0),COLORLIMAGENTA;
STICKLINE(散戶賣盤>0 AND 散戶賣盤>=散戶買盤 AND 散戶賣盤>=REF(散戶賣盤,1),-20,-20-100,1,0),COLORCYAN;
VAR2:=(CLOSE-LLV(LOW,24))/(HHV(HIGH,24)-LLV(LOW,24))*2000;
買賣力道: SMA(VAR2,3,1),COLORLIGRAY;
VAR3:=VOL/((HIGH-LOW)*2-ABS(CLOSE-OPEN));
VAR4:=(IF(CLOSE>OPEN,VAR3*(HIGH-LOW),IF(CLOSE<OPEN,VAR3*(HIGH-OPEN+CLOSE-LOW),VOL/2))/(IF(CLOSE>OPEN,0-VAR3*(HIGH-CLOSE+OPEN-LOW),IF(CLOSE<OPEN,0-VAR3*(HIGH-LOW),0-VOL/2))*(-1))-IF(CLOSE>OPEN,0-VAR3*(HIGH-CLOSE+OPEN-LOW),IF(CLOSE<OPEN,0-VAR3*(HIGH-LOW),0-VOL/2))*(-1)/IF(CLOSE>OPEN,VAR3*(HIGH-LOW),IF(CLOSE<OPEN,VAR3*(HIGH-OPEN+CLOSE-LOW),VOL/2)));
VAR5:=AMOUNT/(100*VOL);
VAR6:=MA(VAR5,40);
VAR7:=100*(CLOSE-VAR6)/VAR6;
底部追擊:= IF(VAR4>0 AND VAR7<-12 AND CLOSE/OPEN>1.08,300,200),COLORGREEN;
STICKLINE(VAR4>0 AND VAR7<-12 AND CLOSE/OPEN>1.08,1200,200,10,0) , COLORGREEN;
VAR8:=(CLOSE-LLV(LOW,34))/(HHV(HIGH,34)-LLV(LOW,34))*100;
VAR9:=SMA(VAR8,3,1);
VARA:=SMA(VAR9,3,1);
D: SMA(VARA,5,1)*20, COLORCYAN;
V11:=3*SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1)-2*SMA(SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1),3,1);
趨勢線:= EMA(V11,3);
V12:=(趨勢線-REF(趨勢線,1))/REF(趨勢線,1)*100;
BB:(趨勢線<=13 AND V12>13) AND FILTER((趨勢線<=13 AND V12>13),10);
買入股票:= (趨勢線<=13 AND V12>13),COLORRED;
CCC:=(趨勢線>=90 AND V12) AND FILTER((趨勢線>=90 AND V12),10);
清倉:=FILTER(趨勢線>=90 AND V12 AND CROSS(D,買賣力道),5),COLORYELLOW;
賣出區: 清倉+1800,COLORYELLOW;
中:(0+賣出區)/2, COLORGREEN;
{股旁網-股票公式網站 www.gupang.com}
STICKLINE(買賣力道>=中 AND 買賣力道>=REF(買賣力道,1),中,買賣力道+中/10,0,0),COLORMAGENTA;
STICKLINE(買賣力道>=中 AND 買賣力道< REF(買賣力道,1),中,買賣力道+中/10,0,0),COLORBROWN;
STICKLINE(買賣力道<中 AND 買賣力道>=REF(買賣力道,1),中,買賣力道-中/10,0,0),COLORGREEN;
STICKLINE(買賣力道<中 AND 買賣力道< REF(買賣力道,1),中,買賣力道-中/10,0,0),COLORBLUE;
DRAWICON(買入股票,中,15);
DRAWTEXT (BB,0,'買股'),COLORYELLOW;
DRAWTEXT(清倉,買賣力道,'頂'),COLORYELLOW;
STICKLINE(清倉,買賣力道,買賣力道+0.01,2,0),COLORBLUE;
DRAWICON(CROSS(D,中),中,13);
DRAWICON(CROSS(中,買賣力道),買賣力道,2);
DIF:=(EMA(CLOSE,13) - EMA(CLOSE,24));
DEA:=(EMA(DIF,6));
MACD:=(DIF-DEA)*3;
紅線:=IF(MACD>=0 AND MACD>REF(MACD,1),中,DRAWNULL);
青線:=IF(MACD>=0 AND MACD< REF(MACD,1),中,DRAWNULL);
粉線:=IF(MACD<0 AND MACD>=REF(MACD,1),中,DRAWNULL);
藍線:=IF(MACD<0 AND MACD< REF(MACD,1),中,DRAWNULL);
STICKLINE(紅線,200,250,1,0),COLORRED,LINETHICK1;
STICKLINE(青線,200,250,1,0),COLORCYAN,LINETHICK1;
STICKLINE(粉線,200,250,1,0),COLORMAGENTA,LINETHICK1;
STICKLINE(藍線,200,250,1,0),COLORBLUE,LINETHICK1;
DRAWICON(CROSS((A2),(A3)),200,23);
⑧ 通達信個股疊加大盤指數指標源代碼
可以編寫通達信個股疊加大盤指標的公式代碼,是疊加指定的大盤指數,例如上證指數,還是疊加對應的大盤指數,例如創業板就自動疊加創業板的大盤指數了.是想把這個指標放在主圖上,還是把這個指標放在幅圖上.條件說明清楚才好編寫指標公式,例如下圖放在幅圖上的效果.
⑨ 我從朋友的通達信軟體【指標編輯器4.15】上復制的指標源碼【如下】!在我的電腦上的通達信軟體通不過
AA1:='AQWE.AQWE#DAY';
BB1:='SQWE.SQWE#DAY';
VAR1:=(C+H+O+L)/4;
賣出:AA1,COLORGREEN,LINETHICK2;
買入:BB1,COLORMAGENTA,LINETHICK2;
風險:=100*(L-BB1)/BB1,NODRAW;
幅度:100*(AA1-BB1)/BB1,NODRAW;
STICKLINE(AA1>LOWANDAA1<HIGH,AA1,MAX(AA1,MAX(OPEN,CLOSE)),2,0),COLORGREEN;
STICKLINE(AA1>LOWANDAA1<HIGH,AA1,HIGH,0,0),COLORGREEN;
STICKLINE(AA1<LOW,OPEN,CLOSE,3,0),COLORGREEN;
STICKLINE(AA1<LOW,OPEN,CLOSE,1,0),COLORGREEN;
STICKLINE(AA1<LOW,HIGH,LOW,0,0),COLORGREEN;
STICKLINE(BB1>LOWANDBB1<HIGH,BB1,MIN(MIN(OPEN,CLOSE),BB1),2,0),COLORFF00FF;
STICKLINE(BB1>MIN(C,O)ANDBB1<MAX(C,O),BB1,MIN(OPEN,CLOSE),2,0),COLORFF00FF;
STICKLINE(BB1>HIGH,OPEN,CLOSE,2,0),COLORFF00FF;
STICKLINE(BB1>HIGH,HIGH,LOW,0,0),COLORFF00FF;
VAR2:=LLV(LOW,10);
VAR3:=HHV(HIGH,25);
動能趨勢線:=100*EMA((CLOSE-VAR2)/(VAR3-VAR2),4);
DRAWTEXT(CROSS(動能趨勢線,70)ANDC>賣出,HIGH*1.02,'←賣'),COLORGREEN;
RSV:=(C-LLV(L,9))/(HHV(H,9)-LLV(L,9))*100;
K:=SMA(RSV,3,1);
D:=SMA(K,3,1);
J:=3*K-2*D;
X:=LLV(J,2)=LLV(J,8);
DRAWTEXT(CROSS(J,REF(J+0.01,1))ANDXANDJ<20ANDC<買入,LOW,'←買'),COLORFF00FF;
這樣可以使用了。
選股公式:
買入:=4;
RSV:=(C-LLV(L,9))/(HHV(H,9)-LLV(L,9))*100;
K:=SMA(RSV,3,1);
D:=SMA(K,3,1);
J:=3*K-2*D;
X:=LLV(J,2)=LLV(J,8);
XG:CROSS(J,REF(J+0.01,1))ANDXANDJ<20ANDC<買入;
⑩ 求通達信公式高手將指標源碼拆解成兩個通達信選股公式,重酬
1、粉色柱出現第一天選股買入股票:
V1:=(C*2+H+L)/4*10;
V2:=EMA(V1,13)-EMA(V1,34);
V3:=EMA(V2,5);
V4:=2*(V2-V3)*5.5;
主力進:=IF(V4>=0,V4,0),COLORFF00FF;
V11:=3*SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1)-2*SMA(SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1),3,1);
趨勢線:=EMA(V11,3);
XG:REF(主力進 AND 趨勢線<13,1)=0 AND 主力進 AND 趨勢線<13=1;
2、綠柱出現第一天預警賣出股票:
V8:=(INDEXC*2+INDEXH+INDEXL)/4;
V9:=EMA(V8,13)-EMA(V8,34);
VA:=EMA(V9,3);
VB:=(V9-VA)/2;
大盤資金撤走:=IF(VB<=0,VB,0),COLORGREEN;
V11:=3*SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1)-2*SMA(SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1),3,1);
趨勢線:=EMA(V11,3);
賣出:REF(大盤資金撤走 AND 趨勢線>90,1)=0 AND 大盤資金撤走 AND 趨勢線>90=1;
不為別的,為了你的高分,必須滴!不許食言啊!