在股市来,我们最好是追求长期的可持续投资盈利。而如何能实现资金有效的滚雪球式增长呢?我的理解是、一个要频抓潜力牛股,这是利润的直接来源。第二就是回避市场的主跌期,防止利润的较大回吐。长期而言,行情不好少亏,行情好能多赚,就是市场赢家。而如何频抓潜力牛股呢?这肯定要靠策略来选股。什么情况的下的股票,未来具有大涨潜力?如何能保证我布局的十只票,至少未来有七八只能大涨,实现丰厚的收益?说再直接点就是,什么样的股票未来会大涨?
{跟庄公式}
VAR1:=EMA(EMA(CLOSE,9),9);
控盘:=(VAR1-REF(VAR1,1))/REF(VAR1,1)*1000;
STICKLINE(控盘<0,控盘,0,1,0),COLORWHITE;
A10:=CROSS(控盘,0);
无庄控盘:IF(控盘<0,控盘,0),COLORWHITE,NODRAW;
开始控盘:IF(A10,5,0),LINETHICK1,COLORYELLOW;
VAR2:=100*WINNER(CLOSE*0.95);
STICKLINE(VAR2>50 AND COST(85)<CLOSE AND 控盘>0,控盘,0,1,0),COLORFF00FF;
有庄控盘:IF(VAR2>50 AND COST(85)<CLOSE AND 控盘>0,控盘,0),COLORFF00FF,NODRAW;
VAR3:=EMA(CLOSE,30);
VAR4:=CLOSE>VAR3;
VAR5:=CLOSE<VAR3*0.9;
VAR6:=CROSS(VAR4,VAR5) OR CROSS(VAR5,VAR4);
VAR7:=EMA(CLOSE,5);
VAR8:=EMA(EMA(CLOSE,29),5);
VAR9:=CROSS(VAR7,VAR8);
VARA:=CROSS(VAR8,VAR7);
VARB:=COUNT(VAR9,3)=1 AND COUNT(VARA,3)=1;
VARC:=EMA(CLOSE,5)>EMA(EMA(CLOSE,29),5);
VARD:=BARSLAST(VARC);
VARE:=0-CLOSE;
VARF:=EMA(CLOSE,5)-EMA(CLOSE,34);
VAR10:=EMA(VARF,5);
VAR11:=2*(VARF-VAR10);
VAR12:=POW(VAR11,3)*0.1+POW(VAR11,1);
VAR13:=SQRT(SQRT(LOW*HIGH*OPEN*CLOSE));
VAR14:=EMA(VAR13*0.97,3);
VAR15:=(HIGH+LOW+CLOSE)/3;
VAR16:=(VAR15-MA(VAR15,14))/(0.015*AVEDEV(VAR15,14));
VAR17:=CROSS(VAR11,VAR10);
VAR18:=FILTER(COUNT(VAR17,3)=1 AND COUNT(VAR6,3)=1 AND VARB AND VARD>30,5);
STICKLINE(VAR18,0,控盘*1.2,1,0),COLORRED;
主力出现:IF(VAR18,控盘,0),COLORRED,NODRAW;
DRAWTEXT(VAR18,控盘*1.2,'跟'),COLORRED;
DRAWTEXT(VAR18,控盘*1.1,'庄'),COLORRED;