A. 贏在龍頭多空資金線的指標源碼
VAR0:=(2*CLOSE+HIGH+LOW)/4;
B:=XMA((VAR0-LLV(LOW,30))/(HHV(HIGH,30)-LLV(LOW,30))*100,12);
主力做多資金:EMA(B,3),LINETHICK2,COLORWHITE;
個股做空資金:EMA(主力做多資金,18),COLORD9D919,LINETHICK2;
5,POINTDOT,COLORWHITE;
20,POINTDOT,COLORF00FF0;
50,POINTDOT,COLORGREEN;
80,POINTDOT,COLORWHITE;
B. 通達信 dkx多空線指標源碼
MID:=(3*CLOSE+LOW+OPEN+HIGH)/6;DKX:=(20*MID+19*REF(MID,1)+18*REF(MID,2)+17*REF(MID,3)+16*REF(MID,4)+15*REF(MID,5)+14*REF(MID,6)+13*REF(MID,7)+12*REF(MID,8)+11*REF(MID,9)+10*REF(MID,10)+9*REF(MID,11)+8*REF(MID,12)+7*REF(MID,13)+6*REF(MID,14)+5*REF(MID,15)+4*REF(MID,16)+3*REF(MID,17)+2*REF(MID,18)+REF(MID,20))/210;MADKX:MA(DKX,10),DOTLINE;IF((MADKX>=REF(MADKX,1)),MADKX,DRAWNULL),LINETHICK2,COLORMAGENTA;IF((MADKX<=REF(MADKX,1)),MADKX,DRAWNULL),LINETHICK2,COLORGREEN;選股:=CLOSE>=DKX AND CROSS(DKX,MADKX);DRAWICON(選股,L*0.96,30);
C. 線上多,線下空!做多不追多,逢低多!做空不追空,逢高空! 求解在現貨交易中越詳細越好 本人菜鳥1個
交易技術要達到一定的水平不是一朝一夕的事,需要你靜心地學習和沉澱很多東西。只不過如果你所受到的指導更專業,那麼你就能夠走更少的彎路,更快地成長起來。所以如果你想要從事果蔬交易最好選擇一個技術勢力比較強,經驗比較豐富的公司,只有這樣你才能事半功倍。
D. 求一個現貨短線的多空提示指標(富遠版),不要求100%精確,只作為參考就行。最好是指標文件而非源代碼。
簡單的指標,不一樣的感受,多空趨勢+招財進寶讓你真正把握個股動向
Var1:=(CLOSE-LLV(LOW,100))/(HHV(HIGH,100)-LLV(LOW,100))*200;
Var2:=SMA(Var1,3,1);
Var3:=SMA(Var2,3,1);
Var4:=3*Var2-2*Var3;
Var5:=LLV(LOW,5);
Var6:=HHV(HIGH,5);
Var7:=EMA((CLOSE-Var5)/(Var6-Var5)*100,4)*2;
Var8:=EMA(0.667*ref(Var7,1)+0.333*Var7,2);
Var9:=3*Var7-2*Var8;
VarA:=POW(MA(CLOSE,5),2)+MA(CLOSE,5);
VarB:=POW(MA(LOW,5),2)+MA(LOW,5);
VarC:=POW(MA(HIGH,5),2)+MA(HIGH,5);
VarD:=(VarA-LLV(VarB,64))/(HHV(VarC,64)-LLV(VarB,64))*150+65-10;
VarE:=SMA(VarD,3,1)*1.5-100;
VarF:=SMA(VarE,3,1);
Var10:=3*VarE-2*VarF;
Var11:=(HIGH+LOW+CLOSE*2)/4;
Var12:=EMA(Var11,13);
Var13:=STD(Var11,13);
Var14:=(Var11-Var12)*100/Var13;
Var15:=EMA(Var14,5);
Var16:=EMA(Var15,13);
Var17:=EMA(Var15,13)+200-100;
Var18:=EMA(Var17,10);
Var19:=3*Var17-2*Var18;
Var1A:=Var2+Var7+VarE+Var17;
Var1B:=Var3+Var8+VarF+Var18;
Var1C:=Var4+Var9+Var10+Var19;
Var1D:=(HIGH+LOW+CLOSE)/3;
Var1E:=AMOUNT/VOL/100;
Var1F:=SUM(AMOUNT,5)/SUM(VOL,5)/100;
Var20:=(Var1D-MA(Var1D,34))/(0.015*AVEDEV(Var1D,34));
Var21:=DMA(AMOUNT/VOL/100,VOL/CAPITAL);
Var22:=(HIGH+LOW+CLOSE+Var1D)/4;
Var23:=EMA(Var22,24);
Var24:=STD(Var22,24);
Var25:=(Var22-Var23)/Var24*100;
Var26:=(Var1D-MA(Var1D,24))/(0.015*AVEDEV(Var1D,24));
Var27:=EMA(Var25,5);
Var28:=(Var1E-MA(Var1E,21))/(0.015*AVEDEV(Var1E,21));
Var29:=(Var1F-MA(Var1F,90))/(0.015*AVEDEV(Var1F,90));
Var2A:=((Var29+Var28+Var27+Var26+Var20)/5+165)/4;
Var2B:=(EMA(EMA(EMA(Var2A,15),10),5)-25)*2+Var21;
Var2C:=(Var1A+Var1B+Var1C*30)/32/5-15;
Var2D:=EMA(Var2C,13);
Var2E:=(Var2A+Var2C)/2/1.1;
0, POINTDOT;
50, POINTDOT;
105, POINTDOT;
短線: Var2E;
中線: (Var2B+Var2D)/2;
Var2F:=EMA(EMA(EMA(CLOSE,13),13),13);
Var30:=((Var2F-ref(Var2F,1))/ref(Var2F,1)*100+0.45)*50;
Var31:=MA(Var30,21);
Var32:=((HHV(HIGH,15)-CLOSE)/(HHV(HIGH,15)-LLV(LOW,15))*(-1)+0.96)*106;
Var33:=((HHV(HIGH,100)-CLOSE)/(HHV(HIGH,100)-LLV(LOW,100))*(-1)+0.96)*106;
Var34:=(HIGH+LOW+CLOSE)/3;
Var35:=((Var34-MA(Var34,14))/(0.015*AVEDEV(Var34,14))+200)/4;
Var36:=(HIGH+LOW+CLOSE*2)/4;
Var37:=EMA(Var36,13);
Var38:=STD(Var36,13);
Var39:=(Var36-Var37)*100/Var38;
Var3A:=EMA(Var39,5);
Var3B:=EMA(Var3A,13);
Var3C:=(EMA(Var3A,13)+100)/2-5;
Var3D:=EMA(Var3C,10);
Var3E:=EMA(VOL/CAPITAL,21)*13;
Var3F:=(92-100/(1+Var3E))*2.38;
Var40:=ref(CLOSE,1);
Var41:=WINNER(CLOSE)*100;
Var42:=WINNER(ref(CLOSE,1))*100;
Var43:=ref(INDEXC,1);
Var44:=(CLOSE-Var40)/Var40;
Var45:=(INDEXC-Var43)/Var43;
Var46:=Var44-Var45;
Var47:=SMA(MAX(CLOSE-Var40,0),4,1)/SMA(ABS(CLOSE-Var40),4,1)*100;
Var48:=SMA(MAX(CLOSE-Var40,0),8,1)/SMA(ABS(CLOSE-Var40),8,1)*100;
Var49:=SMA(MAX(CLOSE-Var40,0),12,1)/SMA(ABS(CLOSE-Var40),12,1)*100;
Var4A:=SMA(MAX(CLOSE-Var40,0)*(1+VOL/CAPITAL),12,1)/SMA(ABS(CLOSE-Var40)*(1+VOL/CAPITAL),12,1)*100;
Var4B:=SMA(MAX(Var41-Var42,0),12,1)/SMA(ABS(Var41-Var42),12,1)*100;
Var4C:=SMA(MAX(Var46,0),12,1)/SMA(ABS(Var46),12,1)*100;
Var4D:=(Var47+Var48+Var49)/3;
Var4E:=(Var4A+Var4B+Var4C+Var4D)/4;
Var4F:=(Var4E-31)*2.3;
Var50:=(EMA(EMA(EMA(EMA(Var4F,4),3),2),1)-10)*1.43;
Var51:=(HIGH+LOW+CLOSE*2)/4;
Var52:=EMA(Var51,13);
Var53:=STD(Var51,13);
Var54:=(Var51-Var52)*100/Var53;
Var55:=EMA(Var54,5);
Var56:=EMA(Var55,13);
Var57:=(EMA(Var56,13)+100)/2-5;
Var58:=EMA(Var57,10);
Var59:=3*Var57-2*Var58;
Var5A:=(CLOSE-LLV(LOW,90))/(HHV(HIGH,90)-LLV(LOW,90))*100;
Var5B:=SMA(Var5A,7,1);
Var5C:=SMA(Var5B,10,1);
Var5D:=3*Var5B-2*Var5C;
Var5E:=POW(MA(CLOSE,5),2)+MA(CLOSE,5);
Var5F:=POW(MA(LOW,5),2)+MA(LOW,5);
Var60:=POW(MA(HIGH,5),2)+MA(HIGH,5);
Var61:=(Var5E-LLV(Var5F,100))/(HHV(Var60,100)-LLV(Var5F,100))*100-15;
Var62:=SMA(Var61,21,1)*1.5;
Var63:=SMA(Var62,3,1);
Var64:=3*Var62-2*Var63;
Var65:=POW(MA(CLOSE,5),2)+MA(CLOSE,5);
Var66:=POW(MA(LOW,5),2)+MA(LOW,5);
Var67:=POW(MA(HIGH,5),2)+MA(HIGH,5);
Var68:=(Var65-LLV(Var66,64))/(HHV(Var67,64)-LLV(Var66,64))*100;
Var69:=SMA(Var68,2,1);
Var6A:=SMA(Var69,2,1);
Var6B:=3*Var69-2*Var6A;
Var6C:=EMA(VOL/CAPITAL,21)*100;
Var6D:=(100/(1+Var6C)*(-1)+92)*1.57;
Var6E:=DMA(AMOUNT/VOL/100,VOL/CAPITAL);
Var6F:=(HIGH+LOW+CLOSE)/3;
Var70:=((Var6F-MA(Var6F,5))/(0.015*AVEDEV(Var6F,5))+Var6E+140)/4;
Var71:=EMA(EMA(EMA(CLOSE,100),100),100);
Var72:=((Var71-ref(Var71,1))/ref(Var71,1)*100+0.28)*179;
Var73:=EMA(Var72,20);
Var74:=(Var5D+Var64)/2;
Var75:=(Var69+Var6A+Var6B+Var57+Var5B+Var62+Var6D+Var58+Var5C+Var63+Var59+Var5D+Var64+Var70+EMA(Var35,5)*5)/20;
Var76:=(Var57+Var5B+Var62+Var6D+Var74+Var72+Var73)/7;
Var77:=(Var58+Var5C+Var63+Var6D+Var74+Var72+Var73)/7;
Var78:=(Var76+Var77)/2*1.22;
Var79:=(EMA((Var74+Var78+EMA(Var75,5))/3,89)-12)*1.72;
長線: (Var78+Var79)/2;
E. 多空線的指標原碼
{m=2,250,10}
MID:=(3*CLOSE+LOW+OPEN+HIGH)/6;內
DKX:(20*MID+19*REF(MID,容1)+18*REF(MID,2)+17*REF(MID,3)+
16*REF(MID,4)+15*REF(MID,5)+14*REF(MID,6)+
13*REF(MID,7)+12*REF(MID,8)+11*REF(MID,9)+
10*REF(MID,10)+9*REF(MID,11)+8*REF(MID,12)+
7*REF(MID,13)+6*REF(MID,14)+5*REF(MID,15)+
4*REF(MID,16)+3*REF(MID,17)+2*REF(MID,18)+REF(MID,20))/210;
MADKX:MA(DKX,M);
F. 如何在原有指標上面編寫做空做多!
這要看你的指標源碼,還有具體的做多做空條件,才能知道具體怎麼編寫。
G. 求股票線上陰險買,線下陰險賣 指標公式
一般來講,你說的那線是生命線,好像是bbi,或者是ma30,也就是30日均線;bbi是各股軟都自帶的標准內指標,主圖容的;ma30,如果只想看這一條線,其他的線都屏蔽的話,就改均線參數,把均線1參數改為30,圖上顯示均線數量改為1即可。
H. 什麼指標在線上顯示主力為多頭,在線下為空頭
博弈大師大眾MACD指標以0軸為多空分界點;切記:此指標是預示未來趨勢的指標,有滯後的弊端;(請採納)
I. 誰有現貨「機構做多」「機構做空」指標源碼
沒有這個名詞!
1、如果是做市商,那他會根據大多數散戶的方向,做相反方向;
2、不管是操盤手、還是分析師都是用的博易、倚天交易軟體;
3、所謂機構多空源碼,那可能是業務員的營銷手段;
J. 多空對比指標的源碼誰有
用法:
在持續下跌的行情中,主力資金(紅線)在最下方的時候,白線到100就會下跌。
延伸:
當白線(短期線)到100後股價下跌代表該只股票進入了弱勢行情;當白線到達100不再下跌時,該股的行情就是到了翻轉時機。
運用:
1、當進入弱勢行情就可以運用白線到100賣出,四線歸一買入進行短波段操作。
2、當進入強勢行情後,就可以運用單針下20買入,四線到100尾賣出,進行波段操作。也可以持股中期操作,到白線高於紅線,紅線不能超越時賣出。
3、當我們選擇股票的時候,首先要看一下紅線所處的位置,如果紅線在最上方,代錶行情是強勢,可以按照單針下20抄底。如果不是這種情況,就要看看前面的白線到100時的後續情況,判斷下行情的狀態,之後按上面的兩條操作即可
當出了買入信號,若股價仍在5天均線之下,最好再觀望,有可能還會下調幾天才到底,上了5天均線再抄底,這樣安全可靠。
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