未来函数检测结果如下:
该公式包含未来函数:ZIG
该公式包含未来函数:PEAK
该公式包含未来函数:PEAKBARS
该公式包含未来函数:TROUGH
该公式包含未来函数:TROUGHBARS
该公式包含未来函数:WINNER
该公式包含未来函数:CAPITAL


大机构仓位:100*(1-WINNER(CLOSE)),colorred,LINETHICK3;
VAR2:=1/WINNER(CLOSE);
VAR3:=MA(CLOSE,13);
VAR4:=100-ABS((CLOSE-VAR3)/VAR3*100);
VAR5:=LLV(LOW,120);
VAR6:=HHV(HIGH,120);
VAR7:=(VAR6-VAR5)/100;
VAR8:=SMA((CLOSE-VAR5)/VAR7,20,1);
VAR9:=SMA((OPEN-VAR5)/VAR7,20,1);
VARA:=3*VAR8-2*SMA(VAR8,10,1);
VARB:=3*VAR9-2*SMA(VAR9,10,1);
VARC:=100-VARB;
基金私募仓位: (100-VARA),coloryellow,LINETHICK2;
VARE:=REF(LOW,1)*0.9;
VARF:=LOW*0.9;
VAR10:=(VARF*VOL+VARE*(CAPITAL-VOL))/CAPITAL;
VAR11:=EMA(VAR10,30);
VAR12:=CLOSE-REF(CLOSE,1);
VAR13:=MAX(VAR12,0);
VAR14:=ABS(VAR12);
VAR15:=SMA(VAR13,7,1)/SMA(VAR14,7,1)*100;
VAR16:=SMA(VAR13,13,1)/SMA(VAR14,13,1)*100;
VAR17:=BARSCOUNT(CLOSE);
VAR18:=SMA(MAX(VAR12,0),6,1)/SMA(ABS(VAR12),6,1)*100;
VAR19:=(-200)*(HHV(HIGH,60)-CLOSE)/(HHV(HIGH,60)-LLV(LOW,60))+100;
VAR1A:=(CLOSE-LLV(LOW,15))/(HHV(HIGH,15)-LLV(LOW,15))*100;
VAR1B:=SMA((SMA(VAR1A,4,1)-50)*2,3,1);
VAR1C:=(INDEXC-LLV(INDEXL,14))/(HHV(INDEXH,14)-LLV(INDEXL,14))*100;
VAR1D:=SMA(VAR1C,4,1);
VAR1E:=SMA(VAR1D,3,1);
VAR1F:=(HHV(HIGH,30)-CLOSE)/CLOSE*100;
VAR20:=VAR18<=25 AND VAR19< -95 AND VAR1F>20 AND VAR1B< -30 AND VAR1E< 30 AND VAR11-CLOSE>=-0.25 AND VAR15< 22 AND VAR16< 28 AND VAR17>50;
VAR21:=(HIGH+LOW+CLOSE)/3;
VAR22:=(VAR21-MA(VAR21,14))/(0.015*AVEDEV(VAR21,14));
VAR23:=(VAR21-MA(VAR21,70))/(0.015*AVEDEV(VAR21,70));
VAR24:=IF(VAR22>=150 AND VAR22< 200 AND VAR23>=150 AND VAR23< 200,10,0);
VAR25:=IF(VAR22<=-150 AND VAR22>-200 AND VAR23<=-150 AND VAR23>-200,-10,VAR24);
STICKLINE(VAR20,0,80,5,0),LINETHICK4,colorred;
DRAWTEXT(CROSS(VAR20,0.5) AND COUNT(VAR20=1,10)=1,90,'超级主力建仓!') , colorred;
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);
DRAWTEXT(VAR11 AND COUNT(VAR11,30)=1,70,'大资金进场'),LINETHICK1,colorlimagenta;
STICKLINE(VAR11 AND COUNT(VAR11,30)=1,1,60,5,0),colorlimagenta,LINETHICK4;
v1:=(C*2+H+L)/4*10;
V2:=EMA(V1,13)-EMA(V1,34);
V3:=EMA(V2,5);
V4:=2*(V2-V3)*5.5;
V5:=(HHV(INDEXH,8)-INDEXC)/(HHV(INDEXH,8)-LLV(INDEXL,8))*8;
V6:=EMA(3*V5-2*SMA(V5,18,1),5);
V7:=(INDEXC-LLV(INDEXL,8))/(HHV(INDEXH,8)-LLV(INDEXL,8))*10;
V8:=(INDEXC*2+INDEXH+INDEXL)/4;
V9:=EMA(V8,13)-EMA(V8,34);
VA:=EMA(V9,3);
VB:=(V9-VA)/2;
V11:=3*SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1)-2*SMA(SMA((C-LLV(L,55))/(HHV(H,55)-LLV(L,55))*100,5,1),3,1);
V12:=(EMA(V11,3)-REF(EMA(V11,3),1))/REF(EMA(V11,3),1)*100;
准备现金: STICKLINE(EMA(V11,3)<=13,0,15,5,0),colorlired;
AA:=(EMA(V11,3)<=13) AND FILTER((EMA(V11,3)<=13),15);
DRAWTEXT (AA,-10,'准备现金'),colorlired;
买入股票: STICKLINE(EMA(V11,3)<=13 AND V12>13,0,50,5,0),LINETHICK3,colorred;
BB:= (EMA(V11,3)<=13 AND V12>13) AND FILTER((EMA(V11,3)<=13 AND V12>13),10);
DRAWTEXT (BB,60,'主力进'),colorwhite;
卖临界: STICKLINE(EMA(V11,3)>60 AND EMA(V11,3)>REF(EMA(V11,3),1),100,95,15,1),colorgreen;
CC:=(EMA(V11,3)>=90 AND V12) AND FILTER((EMA(V11,3)>=90 AND V12),10);
DD:=(EMA(V11,3)>=120 AND V12) AND FILTER((EMA(V11,3)>=120 AND V12),10);
STICKLINE(IF(VB>=0,VB,0)  AND EMA(V11,3)< 13,0,15,5,0),colorlired;
STICKLINE(IF(VB<=0,VB,0)  AND EMA(V11,3)>90,0,10,10,0),colorgreen;
STICKLINE( IF(V4>=0,V4,1) AND EMA(V11,3)< 13,0,15,5,0),colorlired;
STICKLINE(IF(V4<=0,V4,1) AND EMA(V11,3)>90,0,10,10,0),colorliblue,LINETHICK1;
DRAWTEXT (CC,20,'主力减仓'),colorliblue;
V10:=PEAKBARS(3,15,1)< 10;
V12:=IF(V10=1,50,0);
头部:= IF(V12=50,100,0);
卖:IF(IF(V12=50,100,0)>REF(IF(V12=50,100,0),1),40,0),colorgreen,LINETHICK3;
DRAWTEXT(卖,50,'主力清仓 '),colorgreen;
V9:=TROUGHBARS(3,15,1)< 10;
V11:=IF(V9=1,50,0);
底部:= IF(V11=50,50,0);
买:IF( 底部>REF(底部,1),40,0),colorred,LINETHICK4;
DRAWTEXT(买,50,'主力抄底 '),colorred;
V7:=TROUGHBARS(3,15,1)< 10;
V9:=IF(V7=1,50,0);
AA:=(O+H+L+C)/4;
BB:=MA(AA,3);
CC:=SUM(IF(AA>REF(AA,1),AA*VOL,0),4)/SUM(IF(AA< REF(AA,1),AA*VOL,0),4);
DD:=REF(100-(100/(1+CC)),1);
a1:=HHV(AA,10);
a2:=LLV(AA,30);
a3:=a1-a2;
a4:=EMA((AA-a2)/a3,1)*100;
b1:=HHV(AA,16);
b2:=LLV(AA,90);
b3:=b1-b2;
b4:=EMA((AA-b2)/b3,1)*100;
C1:=HHV(AA,30);
C2:=LLV(AA,240);
C3:=C1-C2;
C4:=EMA((AA-C2)/C3,1)*100;
中线趋势:b4,colormagenta,LINETHICK2;
D:=CROSS(ZIG(3,50/5)*1,MA(ZIG(3,50/5)*1,2))*1,colorred;
W:=CROSS(MA(ZIG(3,50/5)*1,2),ZIG(3,50/5)*1)*1,colorblue;
Var1:=(2*CLOSE+HIGH+LOW+OPEN)/5;
Var2:=LLV(LOW,34);
Var3:=HHV(HIGH,34);
多: EMA((Var1-Var2)/(Var3-Var2)*100,13),colorred,LINETHICK2;
空: EMA(多,3),colorgreen,LINETHICK1;
DRAWTEXT(W=1,多*-0.1,'▼' ),colorgreen;
DRAWTEXT(D=1,多*-0.31,'▲'),colorred;
爆发线: 80,colorred;
Var12:=(HIGH+LOW+CLOSE)/3;
Var13:=(Var12-MA(Var12,14))/(0.015*AVEDEV(Var12,14));
Var14:=(Var12-MA(Var12,70))/(0.015*AVEDEV(Var12,70));
Var15:=IF(Var13>=150 AND Var13< 200 AND Var14>=150 AND Var14< 200,10,0);
Var16:=IF(Var13<=-150 AND Var13>-200 AND Var14<=-150 AND Var14>-200,-10,Var15);
Var17:=(CLOSE-MA(CLOSE,13))/MA(CLOSE,13)*100;
Var18:=100-ABS(Var17);
Var19:=IF(Var18< 90,Var18,100);
Var1A:=IF(VarE>0,VarE,0);
Var1B:=IF(Var14>=200 AND Var13>=150,15,IF(Var14<=-200 AND Var13<=-150,-15,Var16))+60;
Var1C:=Var1A>48 AND Var1B>60 AND Var19< 100;
DRAWTEXT(Var1C AND COUNT(Var1C,30)=1,60,'大资金出货'),linethick1,COLORffcc66;
STICKLINE(Var1C AND COUNT(Var1C,30)=1,0,50,5,0),colorffcc66,linethick3;

原理解析:
输出大机构仓位:100*(1-收盘价计算的获利盘比例),COLORRED, 线宽为3
VAR2赋值:1/收盘价计算的获利盘比例
VAR3赋值:收盘价的13日简单移动平均
VAR4赋值:100-(收盘价-VAR3的绝对值/VAR3*100)
VAR5赋值:120日内LOW最低值
VAR6赋值:120日内最高价最高值
VAR7赋值:(VAR6-VAR5)/100
VAR8赋值:SMA((收盘价-VAR5)/VAR7,20,1)
VAR9赋值:SMA((开盘价-VAR5)/VAR7,20,1)
VAR8的10日[1日权重]移动平均
VAR9的10日[1日权重]移动平均
VARC赋值:100-VARB
输出基金私募仓位: (100-VARA),COLORYELLOW, 线宽为2
VARE赋值:1日前的LOW*0.9
VARF赋值:LOW*0.9
VAR10赋值:(VARF*成交量+VARE*(当前流通股本-成交量))/当前流通股本
VAR11赋值:VAR10的30日指数移动平均
VAR12赋值:收盘价-1日前的收盘价
VAR13赋值:VAR12和0较大值
VAR14赋值:VAR12的绝对值
VAR13的7日[1日权重]移动平均
VAR13的13日[1日权重]移动平均
VAR17赋值:收盘价的有效数据周期数
VAR18赋值:SMA(VAR12和0较大值,6,1)/SMA(VAR12的绝对值,6,1)*100
VAR19赋值:(-200)*(60日内最高价最高值-收盘价)/(60日内最高价最高值-60日内LOW最低值)+100
VAR1A赋值:(收盘价-15日内LOW最低值)/(15日内最高价最高值-15日内LOW最低值)*100
VAR1B赋值:SMA((SMA(VAR1A,4,1)-50)*2,3,1)
VAR1C赋值:(INDEXC-14日内INDEXL最低值)/(14日内INDEXH最高值-14日内INDEXL最低值)*100
VAR1C的4日[1日权重]移动平均
VAR1D的3日[1日权重]移动平均
VAR1F赋值:(30日内最高价最高值-收盘价)/收盘价*100
VAR20:=VAR18<=25 AND VAR19< -95 AND VAR1F>20 AND VAR1B< -30 AND VAR1E< 30 AND VAR11-收盘价>=-0.25 AND VAR15< 22 AND VAR16< 28 AND VAR17>50
VAR21:=(最高价+LOW+收盘价)/3
VAR22:=(VAR21-VAR21的14日简单移动平均)/(0.015*AVEDEV(VAR21,14))
VAR23:=(VAR21-VAR21的70日简单移动平均)/(0.015*AVEDEV(VAR21,70))
如果VAR22>=150 AND VAR22< 200 AND VAR23>=150 AND VAR23< 200返回10否则返回0
如果VAR22<=-150 AND VAR22>-200 AND VAR23<=-150 AND VAR23>-200返回-10否则返回VAR24
当满足条件VAR20时,在0和80之间画柱状线
DRAWTEXT(VAR20上穿0.5 AND 统计10日满足VAR20=1的天数=1,90,'超级主力建仓!') , COLORRED
VARE赋值:MA(100*(收盘价-34日内收盘价最低值)/(34日内最高价最高值-34日内LOW最低值),5)-20
VARF赋值:100-3*SMA((收盘价-75日内LOW最低值)/(75日内最高价最高值-75日内LOW最低值)*100,20,1)+2*SMA(SMA ((收盘价-75日内LOW最低值)/(75日内最高价最高值-75日内LOW最低值)*100,20,1),15,1)
VAR10赋值:100-3*SMA((开盘价-75日内LOW最低值)/(75日内最高价最高值-75日内LOW最低值)*100,20,1)+2*SMA(SMA ((开盘价-75日内LOW最低值)/(75日内最高价最高值-75日内LOW最低值)*100,20,1),15,1)
VAR11赋值:VARF< 1日前的VAR10 AND 成交量>1日前的成交量 AND 收盘价>1日前的收盘价
DRAWTEXT(VAR11 AND 统计30日满足VAR11的天数=1,70,'大资金进场'),LINETHICK1,COLORLIMAGENTA
STICKLINE(VAR11 AND 统计30日满足VAR11的天数=1,1,60,5,0),COLORLIMAGENTA,LINETHICK4
V1赋值:(C*2+H+L)/4*10
V2赋值:V1的13日指数移动平均-V1的34日指数移动平均
V3赋值:V2的5日指数移动平均
V4赋值:2*(V2-V3)*5.5
V5赋值:(8日内INDEXH最高值-INDEXC)/(8日内INDEXH最高值-8日内INDEXL最低值)*8
V5的18日[1日权重]移动平均
V7赋值:(INDEXC-8日内INDEXL最低值)/(8日内INDEXH最高值-8日内INDEXL最低值)*10
V8赋值:(INDEXC*2+INDEXH+INDEXL)/4
V9赋值:V8的13日指数移动平均-V8的34日指数移动平均
VA赋值:V9的3日指数移动平均
VB赋值:(V9-VA)/2
V11:=3*SMA((C-55日内L最低值)/(55日内H最高值-55日内L最低值)*100,5,1)-2*SMA(SMA((C-55日内L最低值)/(55日内H最高值-55日内L最低值)*100,5,1),3,1)
V12:=(V11的3日指数移动平均-1日前的V11的3日指数移动平均)/1日前的V11的3日指数移动平均*100
输出准备现金: STICKLINE(V11的3日指数移动平均<=13,0,15,5,0),COLORLIRED
AA赋值:(V11的3日指数移动平均<=13) AND FILTER((V11的3日指数移动平均<=13),15)
DRAWTEXT (AA,-10,'准备现金'),COLORLIRED
输出买入股票: STICKLINE(V11的3日指数移动平均<=13 AND V12>13,0,50,5,0), 线宽为3,COLORRED
BB赋值: (V11的3日指数移动平均<=13 AND V12>13) AND FILTER((V11的3日指数移动平均<=13 AND V12>13),10)
DRAWTEXT (BB,60,'主力进'),COLORWHITE
输出卖临界: STICKLINE(V11的3日指数移动平均>60 AND V11的3日指数移动平均>1日前的V11的3日指数移动平均,100,95,15,1),画绿色
CC赋值:(V11的3日指数移动平均>=90 AND V12) AND FILTER((V11的3日指数移动平均>=90 AND V12),10)
DD赋值:(V11的3日指数移动平均>=120 AND V12) AND FILTER((V11的3日指数移动平均>=120 AND V12),10)
如果VB>=0返回VB否则返回0
如果VB<=0返回VB否则返回0
如果V4>=0返回V4否则返回1
如果V4<=0返回V4否则返回1
DRAWTEXT (CC,20,'主力减仓'),COLORLIBLUE
V10:=PEAKBARS(3,15,1)< 10
如果V10=1返回50否则返回0
如果V12=50返回100否则返回0
如果V12=50返回100否则返回0
当满足条件卖时,在50和'主力清仓 '位置书写文字
V9赋值:TROUGHBARS(3,15,1)< 10
如果V9=1返回50否则返回0
如果V11=50返回50否则返回0
输出买:IF( 底部>1日前的底部,40,0),COLORRED,LINETHICK4
当满足条件买时,在50和'主力抄底 '位置书写文字
V7赋值:TROUGHBARS(3,15,1)< 10
如果V7=1返回50否则返回0
AA赋值:(O+H+L+C)/4
BB赋值:AA的3日简单移动平均
CC赋值:SUM(IF(AA>1日前的AA,AA*成交量,0),4)/SUM(IF(AA< 1日前的AA,AA*成交量,0),4)
DD赋值:REF(100-(100/(1+CC)),1)
A1赋值:10日内AA最高值
A2赋值:30日内AA最低值
A3赋值:A1-A2
A4赋值:EMA((AA-A2)/A3,1)*100
B1赋值:16日内AA最高值
B2赋值:90日内AA最低值
B3赋值:B1-B2
B4赋值:EMA((AA-B2)/B3,1)*100
C1赋值:30日内AA最高值
C2赋值:240日内AA最低值
C3赋值:C1-C2
C4赋值:EMA((AA-C2)/C3,1)*100
输出中线趋势:B4,画洋红色, 线宽为2
D赋值:CROSS(ZIG(3,50/5)*1,MA(ZIG(3,50/5)*1,2))*1,COLORRED
W赋值:CROSS(MA(ZIG(3,50/5)*1,2),ZIG(3,50/5)*1)*1, 画蓝色
VAR1:=(2*收盘价+最高价+LOW+开盘价)/5
VAR2赋值:34日内LOW最低值
VAR3赋值:34日内最高价最高值
输出多: EMA((VAR1-VAR2)/(VAR3-VAR2)*100,13),COLORRED, 线宽为2
输出空: 多的3日指数移动平均,画绿色,LINETHICK1
当满足条件W=1时,在多*-0.1和'▼' 位置书写文字
当满足条件D=1时,在多*-0.31和'▲'位置书写文字
输出爆发线: 80,COLORRED
VAR12赋值:(最高价+LOW+收盘价)/3
VAR13赋值:(VAR12-VAR12的14日简单移动平均)/(0.015*AVEDEV(VAR12,14))
VAR14赋值:(VAR12-VAR12的70日简单移动平均)/(0.015*AVEDEV(VAR12,70))
如果VAR13>=150 AND VAR13< 200 AND VAR14>=150 AND VAR14< 200返回10否则返回0
如果VAR13<=-150 AND VAR13>-200 AND VAR14<=-150 AND VAR14>-200返回-10否则返回VAR15
VAR17赋值:(收盘价-收盘价的13日简单移动平均)/收盘价的13日简单移动平均*100
VAR18赋值:100-VAR17的绝对值
如果VAR18< 90返回VAR18否则返回100
如果VARE>0返回VARE否则返回0
VAR1B赋值:IF(VAR14>=200 AND VAR13>=150,15,IF(VAR14<=-200 AND VAR13<=-150,-15,VAR16))+60
VAR1C赋值:VAR1A>48 AND VAR1B>60 AND VAR19< 100
DRAWTEXT(VAR1C AND 统计30日满足VAR1C的天数=1,60,'大资金出货'),LINETHICK1,COLORFFCC66
STICKLINE(VAR1C AND 统计30日满足VAR1C的天数=1,0,50,5,0),COLORFFCC66, 线宽为3

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