一直关注于指标公式的设计和验证,在此感谢每一位无私分享理念、公式指标的老师和伙伴!
本是一直看技术指标分析股票,偶然间发现可以有这样的捷径协助筛选股票,感叹发明的人如此聪明
从六月底开始经历了股灾、反弹、恐慌等一系列大盘走势,自己有一些还算是心得吧,跟伙伴们韶一韶
说在前面的是,大家不要迷信指标,指标不是万能,只是辅助你操作的一个工具,我想世界上应该没有100%的准确公式,要不,怎么没有人提前预示这次股灾呢
我还不太会分析未来指标,我的方法就是把技术指标放在主图上,有提示未来指标的,我就放弃这个指标
选股,用预警和选股几种方式试验公式,出现的票一样,就认为无未来
我看很多同学,都是追寻着,短期暴力指标,我也曾迷恋过,可是回头想想,这是不现实的,没谁能保证100%把握住,那么我们就选取大部分结果上涨的
我一直坚信技术指标是领先消息面的,所以我想伙伴们在选择指标的时候,更多的是要考虑该指标的设计理念,所有的公式再花哨,也离不开基础技术指标的支持
好的指标公式,就是种基础指标的多种排列组合,大家完全可以根据自己的心得去设计适合自己的指标,我想所说的万变不离其宗就是这个道理吧。
从最开始研究指标,手工,每天记录,到后来制作各种EXCEL自动计算公式的收益,到现在会简单的修改公式、自制股票池,真的要感谢理想论坛!
目前为止,我也没有领会股票池的精髓,我用股票池来筛选指标的准确性和操作点
说了这么多,在此分享一个近期战况很不错的指标,是冷妞妞老师前些日子分享给大家的
{通达信公式代码}
VAR1:=CLOSE>REF(CLOSE,1) AND CLOSE>REF(CLOSE,2);
VAR2:=REF(VAR1,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR3:=REF(VAR2,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR4:=REF(VAR3,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR5:=REF(VAR4,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR6:=REF(VAR5,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR7:=REF(VAR6,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR8:=REF(VAR7,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR9:=REF(VAR8,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VARA:=REF(VAR9,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VARB:=REF(VARA,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VARC:=REF(VARB,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VARD:=CLOSE<REF(CLOSE,1) AND CLOSE<REF(CLOSE,2);
VARE:=REF(VARD,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VARF:=REF(VARE,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR10:=REF(VARF,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR11:=REF(VAR10,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR12:=REF(VAR11,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR13:=REF(VAR12,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR14:=REF(VAR13,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR15:=REF(VAR14,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR16:=REF(VAR15,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR17:=REF(VAR16,1) AND CLOSE<=REF(CLOSE,1) AND CLOSE>=REF(CLOSE,2);
VAR18:=REF(VAR17,1) AND CLOSE>=REF(CLOSE,1) AND CLOSE<=REF(CLOSE,2);
VAR19:=EMA(CLOSE,8)-EMA(CLOSE,13);
VAR1A:=EMA(VAR19,5);
VAR1B:=(VAR19-VAR1A)*2;
VAR1C:=MA(CLOSE,20);
VAR1D:=MA(CLOSE,30);
VAR1E:=MA(CLOSE,60);
VAR1F:=MA(CLOSE,120);
VAR20:=MA(CLOSE,250);
VAR21:=VAR1C>REF(VAR1C,1) AND VAR1D>REF(VAR1D,1) AND VAR1E>REF(VAR1E,1) AND VAR1F>REF(VAR1F,1) AND VAR20>REF(VAR20,1);
VAR22:=VAR1C<REF(VAR1C,1) AND VAR1D<REF(VAR1D,1) AND VAR1E<REF(VAR1E,1) AND VAR1F<REF(VAR1F,1) AND VAR20<REF(VAR20,1);
VAR23:=CROSS(VAR19,VAR1A);
VAR24:=CROSS(VAR1A,VAR19);
DRAWICON(VAR1 AND VAR21 AND VAR23,LOW*0.98,1);
DRAWICON(VARD AND VAR22 AND VAR24,HIGH*1.02,2);
STICKLINE(VAR19>=VAR1A,LOW,HIGH,0,0),COLORRED;
STICKLINE(VAR19>=VAR1A,CLOSE,OPEN,3,0),COLORRED;
STICKLINE(VAR19<VAR1A,LOW,HIGH,0,0),COLORGREEN;
STICKLINE(VAR19<VAR1A,CLOSE,OPEN,3,0),COLORGREEN;