指标通过计算股价在特定周期内的相对位置,结合平滑移动平均线,识别股价动能和趋势变化。操作策略上,当短期动能突破关键阈值时,可能预示买入机会;反之,动能减弱时需警惕风险。
股价动能:=(CLOSE-LLV(LOW,20))/(HHV(HIGH,20)-LLV(LOW,20))*100;
动能趋势:SMA(SMA(股价动能,3,1),3,1)/28.57,COLORYELLOW;
VAR1:=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);
VAR2:=CROSS(VAR1,10);
VAR3:=(2*CLOSE+HIGH+LOW)/4;
VAR4:=LLV(LOW,27);
VAR5:=HHV(HIGH,27);
VAR6:=EMA((VAR3-VAR4)/(VAR5-VAR4)*100,13);
VAR7:=EMA(0.618*REF(VAR6,1)+0.382*VAR6,3);
VAR8:=CROSS(VAR6,VAR7) AND VAR6<16;
VAR9:=VAR2 AND VAR8;
STICKLINE(VAR9,0,2,2,0),COLOR0000FF;