指标通过多周期乖离率组合,衡量股价在不同时间窗口下的相对位置,并结合价格偏离均线的程度与市场极端情绪判断,生成买卖信号。主图中的“股价”线反映短期超买超卖状态,配合“出击1”等辅助线,在极端偏离时提示反转机会。当“股价”上穿信号线时,系统以图标提示潜在买入点。整体策略偏向震荡市中的高抛低吸,注重风险控制与极端值过滤。
{双乖离率组合}
AA:=1;
VAR1:=10;
VAR2:=11;
VAR3:=11;
VAR4:=12;
VAR5:=12;
VAR6:=13;
VAR7:=13;
VAR8:=14;
VAR9:=14;
VARA:=15;
VARB:=15;
VARC:=SMA((CLOSE-LLV(LOW,VAR1))/(HHV(HIGH,VAR1)-LLV(LOW,VAR1))*100,4,1);
VARD:=SMA((CLOSE-LLV(LOW,VAR2))/(HHV(HIGH,VAR2)-LLV(LOW,VAR2))*100,4,1);
VARE:=SMA((CLOSE-LLV(LOW,VAR3))/(HHV(HIGH,VAR3)-LLV(LOW,VAR3))*100,4,1);
VARF:=SMA((CLOSE-LLV(LOW,VAR4))/(HHV(HIGH,VAR4)-LLV(LOW,VAR4))*100,4,1);
VAR10:=SMA((CLOSE-LLV(LOW,VAR5))/(HHV(HIGH,VAR5)-LLV(LOW,VAR5))*100,4,1);
VAR11:=SMA((CLOSE-LLV(LOW,VAR6))/(HHV(HIGH,VAR6)-LLV(LOW,VAR6))*100,4,1);
VAR12:=SMA((CLOSE-LLV(LOW,VAR7))/(HHV(HIGH,VAR7)-LLV(LOW,VAR7))*100,4,1);
VAR13:=SMA((CLOSE-LLV(LOW,VAR8))/(HHV(HIGH,VAR8)-LLV(LOW,VAR8))*100,4,1);
VAR17:=SMA((CLOSE-LLV(LOW,VARB))/(HHV(HIGH,VARB)-LLV(LOW,VARB))*100,4,1);
A:(SMA((VAR17-50)*2,3,1)+SMA((VAR13-50)*2,3,1))/2*AA,LINETHICK2;
A,COLORSTICK;
股价:3*(VAR17-50)*2-2*SMA((VAR17-50)*2,3,1)*AA;
VAR18:=(HIGH+LOW+CLOSE)/3;
VAR19:=(VAR18-MA(VAR18,14))/(0.015*AVEDEV(VAR18,14));
VAR1A:=(VAR18-MA(VAR18,70))/(0.015*AVEDEV(VAR18,70));
VAR1B:=IF(VAR19>=150 AND VAR19< 200 AND VAR1A>=150 AND VAR1A< 200,-10,0);
VAR1C:=IF(VAR19<=-150 AND VAR19>-200 AND VAR1A<=-150 AND VAR1A>-200,10,0);
VAR1D:=(CLOSE-MA(CLOSE,13))/MA(CLOSE,13)*100;
VAR1E:=100-ABS(VAR1D);
(IF(BARSCOUNT(CLOSE)< 13,100,IF(VAR1E< 88 AND VAR1D>0,85,100)))*AA,COLORFFFF00;
(IF(BARSCOUNT(CLOSE)< 13,-100,-IF(VAR1E< 92 AND VAR1D< 0,85,100)))*(AA),COLORYELLOW;
(IF(BARSCOUNT(CLOSE)< 70,120,(IF(VAR1A>=200 AND VAR19>=150,-15,VAR1B))+120))*AA,LINETHICK2,COLOR0000FF;
出击1:(IF(BARSCOUNT(CLOSE)< 70,-120,(IF(VAR1A<=-200 AND VAR19<=-150,15,VAR1C))-120))*(AA),LINETHICK2,COLOR00FF00;
DRAWICON(CROSS(股价, A), A,1) ;