① 下面這套指標只能在倚天版軟體使用,想用在富遠版軟體里要怎麼改
還炒啊!大盤都這樣了!
② 請高人幫忙改個指標改成富遠軟體的
指標含未來函數,,所以你看上去好像特准'。。但是富源不支持
③ 怎麼在期貨(富遠)軟體中加入自己的指標
比如布林帶(boll)指標,有個明顯的向上和想下的趨勢線,而且價格到達布林帶上或下都有強支撐和強壓力.這樣你就可以做個買入或賣出.
一般的均線也有一定的支撐或壓力這點是最簡單的看法.
如果是做短線個人經驗可以按15分中線在結合rsi指標進行操作.這樣跟正確的判斷.要向上出現金叉之前可以進行做多,死插做空.還有很多的方法根據個人進行選擇操作。謝謝支持
④ 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;
⑤ 浙商期貨富遠行情分析系統里技術分析中的分析指標,點了沒數據出來
卸載軟體重新下載或者重啟電腦就可以啦,浙商期貨屬於國際盤吧
⑥ ABV指標在富遠現貨軟體不能用
對的富遠的軟體沒有這個指標公式,是不能適應的。
外匯波動比較的大抄,短線刷單一般襲要配上震盪指標,加上均線如果你對其他指標有研究的話一起加上,看圖一般選擇五分鍾十五分鍾圖,節奏把握比較快經驗也佔一部分,新手不好操作,一切小心。
牛人直播創辦了金融分析師行業公信力檔案,現在比較出名的分析師都已入駐這個平台,以總收益率和總成功率為評判標准。近期正在進行操盤牛人爭霸賽(真實資金)每天股票和原油、期貨、外匯等大宗商品的信息會在實時資訊這個板塊里第一時間更新。參加比賽的老師每天會在直播間發布個人的觀點,相信對你會有很大的幫助。
⑧ 求現貨富遠軟體的「新價線」和「新三價線」指標,謝謝。 http://.baidu.com/s/ma.html
這些指標都是浮雲啊 尤其是在自己搞不懂 人家編寫這個指標的原理的情況下使用!
⑨ 外匯超短線交易刷單指標有哪些
第一、MACD指標。MACD主要用於對中長期的上漲或下跌趨勢進行判斷,但它有太大滯後性,利用MACD看上漲或下跌趨勢時,也主要看貨幣在上漲或下跌過程中,作為下面出現的紅綠柱。當匯價上漲或下跌幾天後突然一天下面出現的紅綠柱最長而收盤價格不再創新高或新低,這些外匯就會出現一波短期見頂和見低信號,第二天可逢高或低分批賣出或買進。第二、均線指標。短線操作一般要參照五日、十日、二十日三條均線。五日均線上穿了十日、二十日均線,十日均線上穿二十日均線,稱作金叉,是買進時機;反之則稱作死叉,是賣出時機。第三、KDJ指標。KDJ指標相對比較的敏感,它隨著匯價的上漲和下跌隨時波動,但這里必須分清一下,強勢貨幣和弱勢貨幣在觀看這一指標時,往往在高位和低位發生鈍化。如果單獨利用KDJ這一指標,不注意高低位鈍化,常常吃不到外匯的主上升浪或者在KDJ所謂指標低位時買進過早被套牢。第四、布林帶指標。布林帶指標有三條線,通常來說貨幣弱勢,BOLL趨勢往下,而裡面的小柱就在下面兩條線中運行,見穿越最外面的支撐線時,將形成短期小反彈,到中間線就會回落。相反,貨幣強勢,布爾線趨勢往上,裡面的小柱就在上面的兩條線中運行,中間線就為支撐線,落到這里就會又往上走,見到上面線就會回落。