大家都知道資金標槍,它是臺灣傳入的指標,根本原理就是KDJ+MACD+ZIG買點+大筆出貨。其中就帶有ZIG未來函數。但會用的還是對它愛不釋手。因為在大盤穩定的情況,它的準確性是很多指標無法相比。當然。大盤不穩時請謹慎使用。因為信號可能會消失。 資金標槍本來是有賣出信號的,但信號極少。有些1年也沒一個賣點。根本無法跟指標本身買點配套,為了將指標完善。我在里面加入了配套的賣出信號了,還在指標里加入了傳統MACD和散戶數量。有效減少了下跌趨勢中的買點信號和增加了信號的真實性,讓大家在趨勢向上時找買點介入。盡量在投資投機中減少風險。 源碼如下: 小單買:=1-BIGORDER(1,1)*v/CAPITAL; 小單賣:=1-BIGORDER(2,1)*v/CAPITAL; 散戶凈買:=(小單買-小單賣)*100; sh:=sum(散戶凈買,01); 散戶數量:sh,LINETHICK0,color00ffff; DIFF := EMA(CLOSE,12) - EMA(CLOSE,26); DEA := EMA(DIFF,9); MACD := 2*(DIFF-DEA); VAR01:=SUM(MAX(MAX(HIGH-LOW,ABS(HIGH-REF(CLOSE,1))),ABS(LOW-REF(CLOSE,1))),25); VAR02:=HIGH-REF(HIGH,1); VAR03:=REF(LOW,1)-LOW; VAR04:=SUM(IF(VAR02>0 AND VAR02>VAR03,VAR02,0),25); VAR05:=SUM(IF(VAR03>0 AND VAR03>VAR02,VAR03,0),25); VAR06:=VAR04*100/VAR01; VAR07:=VAR05*100/VAR01; VAR08:=MA(ABS(VAR07-VAR06)/(VAR07+VAR06)*100,15); VAR09:=(VAR08+REF(VAR08,15))/2; A:=(VAR07>VAR06 AND VAR07>25 AND VAR06<25); B:=ZIG(3,5); G:=MA(B,2); D:=CROSS(B,G); W:CROSS(G,B); 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); 指標: EMA(EMA(VAR3,5),5)*3, COLORSTICK; VAR8:=IF(VAR6<=-20,10,0); VAR9:=HHV(VAR8,10); STICKLINE(VAR8=10,20,10,5,0),COLOR6666FF; 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; 換手:= VOL/CAPITAL*100; 成交〖萬手〗:=VOL/10000; DRAWTEXT(VAR8=10 AND FILTER(VAR8=10,5),-10{15},'近底'),LINETHICK1,COLORYELLOW; STICKLINE(VAR8=10 AND FILTER(VAR8=10,5),-1.6{20},-10,5,0),COLORYELLOW; DRAWTEXT(VARA=20,15,'底'),LINETHICK1,COLORWHITE; STICKLINE((VARA=20),0,10,5,0),COLORWHITE; 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:= W OR (ZIG(3,5)=REF(ZIG(3,5),2)) AND (REF(ZIG (3,5),2)>=REF(ZIG(3,5),3)); STICKLINE((VARC=1) AND MACD>=REF(MACD,1) AND sh<0,(-14),0,4,0),COLOR0000FF; DRAWTEXT((VARC=1) AND MACD>=REF(MACD,1) AND sh<0,(-14),'買'),COLOR0000FF; STICKLINE((VARC=1) AND J>=REF(J,1),(-7),0,4,0),COLORYELLOW; DRAWTEXT((VARC=1) AND J>=REF(J,1),(-7),'B'),COLORYELLOW; STICKLINE((VARD=1) AND sh>0.09 ,14,0,4,0),COLOR00FF00; DRAWTEXT((VARD=1) AND sh>0.09 ,18,'賣'),COLOR00FF00; 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); VAR12:=(HIGH+LOW+CLOSE)/3; VAR13:=(VAR12-MA(VAR12,14))/(0.015*AVEDEV(VAR12,14)); VAR14:=(VAR12-MA(VAR12,70))/(0.015*AVEDEV(VAR12,70)); VAR15:=IF(VAR13>=150 AND VAR13<200 AND VAR14>=150 AND VAR14<200,10,0); VAR16:=IF(VAR13<=-150 AND VAR13>-200 AND VAR14<=-150 AND VAR14>-200,-10,VAR15); VAR17:=(CLOSE-MA(CLOSE,13))/MA(CLOSE,13)*100; VAR18:=100-ABS(VAR17); VAR19:=IF(VAR18<90,VAR18,100); VAR1A:=IF(VARE>0,VARE,0); VAR1B:=IF(VAR14>=200 AND VAR13>=150,15,IF(VAR14<=-200 AND VAR13<=-150,-15,VAR16))+60; VAR1C:=VAR1A>48 AND VAR1B>60 AND VAR19<100; DRAWTEXT(VAR1C AND COUNT(VAR1C,30)=1 ,15,'大筆出貨'),LINETHICK1,COLORFFCC66; STICKLINE(VAR1C AND COUNT(VAR1C,30)=1,0,10,5,0),COLORFFCC66; 另外對比一下資金標槍和完善后的資金標錢的信號差別。如下圖 任何指標只作看盤參考,不作買賣依據。至于未來函數,你怕它,你就永遠用不好它。而你愿意嘗試利用它,慢慢了解它,說不定你就會多一種看盤利器。世上所有事物都有兩面性,就看你怎么理解了。 |
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來自: 天天開心215j2h > 《高量》