【下马威】
1.连涨三天,说明主力短线介入较深;
2.突然当天收盘跌破5日均线,主力大概率短线被套;
3.有实力的主力第二天会立马反攻;
4.两年回测,信号相当多(从另一面说明思路相当正确),当天尾买,第二天冲高概率过90%;
需要优化的地方:
1.信号太多,希望可以保留第二天能明显冲高的,即平均盈亏比最好能到8个点以上;
2.如何避开弱庄;
Z:=C>REF(C,1) AND C>O;
Z1:=COUNT(Z,3)=3;
Z2:=COUNT(Z1,3)=1;
X_1:=IF(BARSCOUNT(C)>=8,8,BARSCOUNT(C));
X:=VOL*(C+L+H)/3;
XY:=SUM(X,X_1)/SUM(VOL,X_1);
S:=C>XY;
S1:=COUNT(S,4)>=3;
D:=C/REF(C,1)<1;
MA1:=MA(CLOSE,5);
XX:=INDEXADV/INDEXDEC;
月涨幅:=C/REF(C,20)>1.15;
量能突破:=V>MA(V,5)*1.5 AND V>REF(V,1)*1.2;
趋势强度:=SLOPE(MA(C,20),5)>0;
强势过滤:=月涨幅 + 量能突破 + 趋势强度 >=2 AND (C-MA(C,10))/MA(C,10)*100<3;
近期高点:=HHV(H,5);
回调幅度:=(C-近期高点)/近期高点*100<-10;
深度回调:=(C-REF(C,1))/REF(C,1)*100<-5 OR 回调幅度;
下马:Z2 AND S1 AND D AND C<MA1 AND 强势过滤 AND 深度回调,COLOR999900;
STICKLINE(下马,1.5,1,0.3,0),COLOR999900;