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前几天在网上看到了关于大资金活动的公式,不知道对你们有没有帮助。只是请各位高手更好的优化一下,到底有‘大资金活动’的时候该怎么更好的把握。有大资金活动的时候并不是最好的买点……
VARE:=MA(100*(CLOSE-LLV(CLOSE,34))/(HHV(HIGH,34)-LLV(LOW,34)),5)-20;
VARF:=100-3*SMA((CLOSE-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1)+2*SMA(SMA((CLOSE-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1),15,1);
VAR10:=100-3*SMA((OPEN-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1)+2*SMA(SMA((OPEN-LLV(LOW,75))/(HHV(HIGH,75)-LLV(LOW,75))*100,20,1),15,1);
VAR11:=VARF<REF(VAR10,1) AND VOL>REF(VOL,1) AND CLOSE>REF(CLOSE,1);
大资金活动:VAR11 AND COUNT(VAR11,30)=1,COLORGREEN;
[ 本帖最后由 hongwang 于 2011-3-1 21:49 编辑 ] |
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