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2指标公式

发布时间:2020-12-11 03:22:17

指标公式中的MZ:=2;什么意思

朋友,我来帮你回答下:
这个“MZ”,应该是你的某个公式中的其中之一的变量,这里这个变量使用“2”的从值来配合,如果还有其他问题,欢迎联系。

⑵ 把下面这个技术指标公式改成条件选股公式,选出最近2天内发出“买入”信号的股票,万分感谢您的帮助!

朋友,以下是你要的公式,不过这公式的确是有未来参数,可能能选出的情况不大,建议谨慎使用这种公式:
VAR3:=(CLOSE-MA(CLOSE,6))/MA(CLOSE,6)*100;
VAR4:=(CLOSE-MA(CLOSE,24))/MA(CLOSE,24)*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(VAR9 AND CROSS(MA(CLOSE,3),MA(CLOSE,5)),20,0);
K:=EMA(VAR7,5)*2,COLORFF00FF;
D:=EMA(K,5),COLORWHITE;
J:=K*3-D*2,COLORYELLOW;
VARB:=BETWEEN(CLOSE,MA(CLOSE,3),MA(CLOSE,5)) AND J>10;
VARC:=(ZIG(3,5)>REF(ZIG(3,5),1)) AND (REF(ZIG(3,5),1)<=REF(ZIG(3,5),2)) AND (REF(ZIG
(3,5),2)<=REF(ZIG(3,5),3));
VARD:=(ZIG(3,5)<REF(ZIG(3,5),1)) AND (REF(ZIG(3,5),1)>=REF(ZIG(3,5),2)) AND (REF(ZIG
(3,5),2)>=REF(ZIG(3,5),3));
VARE:=MA(100*(CLOSE-LLV(CLOSE,34))/(HHV(HIGH,34)-LLV(LOW,34)),5)-20;
VARF:=100-3*SMA((CLOSE-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1)+2*SMA(SMA
((CLOSE-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1),15,1);
VAR10:=100-3*SMA((OPEN-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1)+2*SMA(SMA
((OPEN-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1),15,1);
VAR11:=VARF<REF(VAR10,1) AND VOL>REF(VOL,1) AND CLOSE>REF(CLOSE,1);
ZHOU:=VAR11 AND COUNT(VAR11,30)=1;
ZMIN:COUNT(ZHOU,2)>=1;

⑶ 求这2个股票通达信主图指标的公式

{依葫芦画瓢----是不是这个?}

JJ:=(CLOSE+HIGH+LOW)/3;

A:=EMA(JJ,10);

B:=REF(A,1);

STICKLINE(A>B,A,B,5,0),COLORYELLOW;

STICKLINE(A<B,A,B,5,0),COLORBLUE;

M1:=EMA(CLOSE,3),COLORGREEN;

M2:EMA(CLOSE,8)COLORGREEN;

M3:EMA(M2,13),COLORRED;

M4:EMA(M2,55),COLORFFF000;

VAR1:=EMA(M3,55);

M5:EMA(M4,81), COLORRED,LINETHICK2;

VAR2:=(REF(HIGH,1)+REF(LOW,1))/2;

VAR3:=MA(CLOSE,21)+2*STD(CLOSE,21);

DRAWTEXT(CROSS(VAR2,VAR3),HIGH*1.02,'↓卖'), COLORFFFFFF;

VAR4:=REF(CLOSE,1);

VAR5:=SMA(MAX(CLOSE-VAR4,0),7,1)/SMA(ABS(CLOSE-VAR4),7,1)*100;

VAR6:=CROSS(70,VAR5);

DRAWTEXT(VAR6,HIGH*1.02,'↓卖'), COLORFFFFFF;

A7:=(2*C+H+L)/4;

VAR10:=LLV(LOW,34);

VAR11:=HHV(HIGH,34);

SK:=EMA((A7-VAR1)/(VAR2-VAR1)*100,7);

SD:=EMA(0.667*REF(SK,1)+0.333*SK,5);

DRAWTEXT(IF(COUNT(CLOSE<REF(CLOSE,1),8)/8>6/10 AND VOL>=1.5*MA(VOL,5) AND

COUNT(SK>=SD,3) AND REF(LOW,1)=LLV(LOW,120),1,0),LOW,'●买进') ,COLORRED;

DRAWTEXT(IF(COUNT(CLOSE<REF(CLOSE,1),13)/13>6/10 AND

COUNT(SK>SD,6) AND REF(LOW,5)=LLV(LOW,120) AND REF(CLOSE>=OPEN,4) AND

REF(CLOSE>OPEN,3) AND REF(CLOSE>OPEN,2) AND REF(OPEN>CLOSE,1) AND

OPEN>REF(CLOSE,1),1,0),LOW,'●买进'), COLORRED;

D:=MA(CLOSE,80)-MA(CLOSE,10)/3;

DRAWTEXT(IF(CLOSE<D AND VOL/240>MA(VOL,5)/240 AND CLOSE>REF(CLOSE,1)*1.08

AND CLOSE<MA(CLOSE,13)*1.3,1,0),LOW,'●抄底'),COLORRED;

DRAWTEXT(CROSS(C,B),L*0.98,'★'),COLORYELLOW;

⑷ 求大师将下面2个指标公式合成1个 大智慧的

VAR1:=REF((LOW+OPEN+CLOSE+HIGH)/4,1);

VAR2:=SMA(ABS(LOW-VAR1),13,1)/SMA(MAX(LOW-VAR1,0),10,1);

VAR3:=EMA(VAR2,10);

VAR4:=LLV(LOW,33);

VAR5:=EMA(IF(LOW<=VAR4,VAR3,0),3);

主力进场:IF(VAR5>REF(VAR5,1),VAR5,0),COLORRED;

STICKLINE(VAR5>REF(VAR5,1),0,VAR5,3,0),COLORRED;

洗盘:IF(VAR5<REF(VAR5,1),VAR5,0),COLORGREEN;

STICKLINE(VAR5<REF(VAR5,1),0,VAR5,3,0),COLORGREEN;

VAR6:=LLV(LOW,10);

VAR7:=HHV(HIGH,25);

阶段卖出:3.2,COLORC6C600;

3.5,COLOR0088FF;

清仓卖出:3.5,COLORFF75FF;

动力线:=EMA((CLOSE-VAR6)/(VAR7-VAR6)*4,4);

STICKLINE(动力线>REF(动力线,1),动力线,REF(动力线,1),3,1),COLORRED;

STICKLINE(动力线<=REF(动力线,1),动力线,REF(动力线,1),3,1),COLOR00FF00;

底部:0.2,COLOR70DB93;

关注:0.5,COLORYELLOW;

DRAWICON(FILTER(CROSS(动力线,关注),20),动力线+0.02,1);

DRAWICON(FILTER(CROSS(清仓卖出,动力线),20),动力线+0.02,2);

DRAWICON(FILTER(CROSS(动力线,底部),20),动力线+0.02,1);

DRAWICON(FILTER(CROSS(阶段卖出,动力线),20),动力线+0.02,2);

强弱分界线:1.75,POINTDOT,LINETHICK2,COLOR70DB93;

数值:动力线,COLORA8A8A8;

==================================

经测试可以在大智慧软件是使用,但这2个指标不能合并同时使用!!!

⑸ (2)求指标公式改为选股公式(选股条件买入提示)

RSV9:=(CLOSE-LLV(LOW,9))/(HHV(HIGH,9)-LLV(LOW,9))*100;
K1:=SMA(RSV9,3,1);
DK1:=K1-REF(K1,1);
CS:=IF(DK1>7 AND REF(DK1,1)<0 AND (DK1-REF(DK1,1))>9,50,0);
JY:CS;

⑹ 请高手帮忙编写 把这2个通达信指标合在一起的公式

在要整合指标前一定要留意它们各自的特点和取值基线,MACD是以零轴为基础理论上可以回上下无限大(但一般答不超过300);而你第二个公式的取值基线是你零轴为基础向上,在大盘指数状态下可以勉强显示,但在个股画面下是不会显示的。
如果实在想把2个公式整合在一个画面下显示,是需要做特殊处理的。

⑺ 求大神帮忙写两个通达信指标公式。

首先分时图计算的均价线与系统显示的均价线有误差,但你这个思路可以编写,效果如图

⑻ 百分悬赏修改2个通达信公式为选股指标

1.
MA1:=MA(CLOSE,M1);
MA2:=MA(CLOSE,M2);
MA3:=MA(CLOSE,M3);
MA4:=MA(CLOSE,M4);
VAR1:=EMA((C-(LLV(L,25)))/((HHV(H,25))-(LLV(L,25)))*100,5);
VAR2:=VAR1,COLORRED,LINETHICK2;
VAR3:=MA((V-REF(V,1))/REF(V,1),5);
VAR4:=(C-MA(C,24))/MA(C,24)*100;
VAR5:=VAR4*(1+VAR3);
VAR6:=REF(VOL,1);
VAR7:=SMA(MAX(VOL-VAR6,0),6,1)/SMA(ABS(VOL-VAR6),6,1)*100;
VAR8:=VAR5>REF(VAR5,1) AND VAR2<REF(VAR2,1) AND VAR7>REF(VAR7,1);
VAR9:=VAR5<REF(VAR5,1) AND VAR2>REF(VAR2,1) AND VAR7>REF(VAR7,1);
VAR10:=VAR5>REF(VAR5,1) AND VAR2<REF(VAR2,1) AND VAR7<REF(VAR7,1);
VAR11:=VAR5<REF(VAR5,1) AND VAR2>REF(VAR2,1) AND VAR7<REF(VAR7,1);
VAR12:=VAR5>REF(VAR5,1);
VAR13:=VAR5<REF(VAR5,1);
VAR14:=VAR2<REF(VAR2,1);
VAR15:=VAR2>REF(VAR2,1);
VAR16:=VAR8 OR VAR10;
VAR17:=VAR9 OR VAR11;
VAR18:=VAR13 AND VAR14;
VAR19:=VAR16 OR VAR18;
VAR20:=VAR12 AND VAR15;
VAR21:=VAR17 OR VAR20;
VAR22:=LAST(VAR19,N1,1) AND VAR20;
VAR23:=LAST(VAR21,N2,1) AND VAR18;
买入:VAR22;

2.
VAR2:=REF(LOW,1);
VAR3:=SMA(ABS(LOW-VAR2),3,1)/SMA(MAX(LOW-VAR2,0),3,1)*100;
VAR4:=EMA(IF(CLOSE*1.3,VAR3*10,VAR3/10),3);
VAR5:=LLV(LOW,30);
VAR6:=HHV(VAR4,30);
VAR7:=IF(MA(CLOSE,58),1,0);
VAR8:=EMA(IF(LOW<=VAR5,(VAR4+VAR6*2)/2,0),3)/618*VAR7;
VAR9:=IF(VAR8>100,100,VAR8);
底部吸筹指标:=(CLOSE-MA(CLOSE,40))/MA(CLOSE,40)*100;
先知:=(CLOSE-MA(CLOSE,5))/MA(CLOSE,5)*100;
可能放量拉升:=IF(CROSS(底部吸筹指标,-24),1,0);
VARK1:=(CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100;
VARK2:=REVERSE(VARK1);
VARK3:=SMA(VARK1,3,1);波段王:=SMA(VARK3,3,1);
波段鬼:=SMA(波段王,2.5,1);
趋势线:=3*SMA((CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100,5,1)-2
*SMA(SMA((CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100,5,1),3,1);
RSV9:=(CLOSE-LLV(LOW,9))/(HHV(HIGH,9)-LLV(LOW,9))*100;
K1:=SMA(RSV9,3,1);DK1:=K1-REF(K1,1);
出手就赢:=IF(DK1>7 AND REF(DK1,1)<0 AND (DK1-REF(DK1,1))>9,50,0);
买点准备:=IF(趋势线<=10,0,10);
短买:REF("KDJ.J",1)<0 AND "KDJ.J">0;

⑼ 水鸭子的2号指标公式是什么

通项公式:
累加法
递推公式为a(LD+1)=aL+f(LD),且f(LD)可以求和
2. 累乘法递推公式为a(LD+1)/aL=f(LD),且f(LD)可求乐动积

⑽ 2个指标公式合并成一个,哪位大神帮忙。 第一个公式 VAR1:=SMA(AMOUNT,10,1)/

MID:=(3*CLOSE+LOW+OPEN+HIGH)/6;
主力:(20*MID+19*REF(MID,1)+18*REF(MID,2)+17*REF(MID,3)+
16*REF(MID,4)+15*REF(MID,5)+14*REF(MID,6)+
13*REF(MID,7)+12*REF(MID,8)+11*REF(MID,9)+
10*REF(MID,10)+9*REF(MID,11)+8*REF(MID,12)+
7*REF(MID,13)+6*REF(MID,14)+5*REF(MID,15)+
4*REF(MID,16)+3*REF(MID,17)+2*REF(MID,18)+REF(MID,20)),COLORRED;

VAR1:=SMA(AMOUNT,10,1)/10000;
VAR2:=REF(VAR1,1);
资金运转: STICKLINE(VAR1>VAR2,VAR1,VAR2,2.5,0),COLORRED;
资金流失: STICKLINE(VAR1< VAR2,VAR1,VAR2,2.5,0),COLORGREEN;

虽然按照你的要求做了,但是不明白这两个公式有什么关系?一个和量有关,一个是价格,两个指标根本不是一码事,合在一起看不出有什么意义。

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