導航:首頁 > 黃金交易 > 兩個指標合並方法

兩個指標合並方法

發布時間:2021-06-20 02:11:04

❶ 如何做兩個指標合並後的ROC曲線

:prism主頁面中有T,是類似於photoshop中的輸入模式,點擊T,可以輸入文字以及符合。*可以用shift+8輸入。T的左邊是矩形方塊,通過下拉框選擇直線形狀,類似於word中的輸入模式,拉直線畫圖就可以了。

❷ 求高人把2個股票公式指標合並

M1:=5;
M2:=10;
M3:=20;
M4:=60;
VL:VOL,VOLSTICK;
VL5:MA(VOL,M1);
VL10:MA(VOL,M2);
VL20:MA(VOL,M3);
VL60:MA(VOL,M4);
V1:=MIN(REF(VOL,1),REF(VOL,2));
V2:=MIN(REF(VOL,3),REF(VOL,4));
V3:=MIN(REF(VOL,5),REF(VOL,6));
V4:=MIN(REF(VOL,7),REF(VOL,8));
V5:=MIN(REF(VOL,9),REF(VOL,10));
V6:=MIN(REF(VOL,11),REF(VOL,12));
V7:=MIN(REF(VOL,13),REF(VOL,14));
V8:=MIN(REF(VOL,15),REF(VOL,16));
W1:=MIN(MIN(V1,V2),MIN(V3,V4));
W2:=MIN(MIN(V5,V6),MIN(V7,V8));
ZM:=MIN(W1,W2);
Z:ZM,COLORGREEN,LINETHICK1;

VOL5:=MA(VOL,5);
VOL10:=MA(VOL,10);
VOL20:=MA(VOL,20);
VOL60:=MA(VOL,60);
量托1:=VOL5>=VOL20 AND CROSS(VOL10,VOL20) AND REF(VOL10,1)<REF(VOL20,1);
量托:IF(量托1,L-0.10,5);
DRAWICON(量托1,L-0.10,5);

❸ 大師辛苦一下可否把這兩個指標合並為一個副圖(通達信軟體)

{第一個指標}
DIF1:=EMA(CLOSE,12) - EMA(CLOSE,26);
DEA1:=EMA(DIF1,9);
MACD1:=2*(DIF1-DEA1),STICK;
MACD2:=EMA(MACD1,3);
STICKLINE(MACD1>MACD2 AND MACD1>0,0,MACD1,0,0),COLORRED;
STICKLINE(MACD1>MACD2 AND MACD1<0,0,MACD1,0,0),COLORF00FF0;
STICKLINE(MACD1<MACD2,0,MACD1,0,0),COLORCYAN;
STICKLINE(MACD1>=0 OR MACD1<=0,0,0,50,1),COLORWHITE;
DIFF:DIF1,COLOR33FF33;
DEA2:DEA1,COLORYELLOW;
MACD:MACD1,NODRAW,COLORMAGENTA;
低位金叉:= CROSS(DIFF,DEA2) AND DIFF<(-0.1);
STICKLINE(低位金叉,0,-0.3,1,0),COLOR00FFFF;
DRAWTEXT(低位金叉,-0.3,' 低位金叉'),COLOR00FFFF;
JCCOUNT:= COUNT(CROSS(DIFF,DEA2),BARSLAST(DEA2>=0));
二次金叉:= CROSS(DIFF,DEA2) AND DEA2<0 AND COUNT(JCCOUNT=2,21)=1;
STICKLINE(二次金叉,0,-0.15,1,0),COLORFF00FF;
DRAWICON(二次金叉,DEA2*1.04,1),COLOR0000FF;
DRAWTEXT(二次金叉,-0.15,' 二次金叉'),COLORFF00FF;
AD1:= BARSLAST(REF(CROSS(DIFF,DEA2),1));
M底背離:= REF(CLOSE,AD1+1)>CLOSE AND DIFF>REF(DIFF,AD1+1) AND CROSS(DIFF,DEA2);
STICKLINE(M底背離,0,0.15,1,0),COLOR00FF00;
DRAWLINE(AD1=0,DEA2,M底背離,DEA2,0),LINETHICK3,COLORWHITE;
DRAWTEXT(M底背離,0.15,' M底背離'),COLOR00FF00;
AD2:= BARSLAST(REF(CROSS(DEA2,DIFF),1));
M頂背離:= REF(CLOSE,AD2+1)<CLOSE AND REF(DIFF,AD2+1)>DIFF AND CROSS(DEA2,DIFF);
DRAWLINE(AD2=0,DEA2,M頂背離,DEA2,0),LINETHICK3,COLORBLUE;
AA:=C>REF(C,4);
NT:=BARSLASTCOUNT(AA);
TJ11:=NT=9;
TJ13:=ISLASTBAR AND BETWEEN(NT,5,8);
AY:=(BACKSET(TJ11>0,9) OR BACKSET(TJ13>0,NT))*NT;
DRAWTEXT(AY>0,MACD*1.02,VAR2STR(AY,0)),COLORLIRED;
DRAWTEXT(NT=9,MACD*1.02,'9'),COLORGREEN;
B1:=C;
NT0:=BARSLASTCOUNT(B1);
TJ21:=NT0=9 ;
TJ23:=ISLASTBAR AND BETWEEN(NT0,5,8);
AY1:=(BACKSET(TJ21>0,9) OR BACKSET(TJ23>0,NT0))*NT0;
DRAWTEXT(AY1>0,MACD*0.98,VAR2STR(AY1,0)),COLORGREEN;
DRAWTEXT(NT0=9,MACD*0.98,'9'),COLORRED;
DRAWICON(CROSS(DEA1,DIF1),DEA1,2);
{第二個指標參數把KD線關閉了}
LOWV:=LLV(LOW,9);
HIGHV:=HHV(HIGH,9);
RSV:=EMA((CLOSE-LOWV)/(HIGHV-LOWV)*100,3);
K:=EMA(RSV,3);
D:=MA(K,3);
STICKLINE(K>D,K,D,2.5,0),COLORRED,LINETHICK1,NODRAW;
STICKLINE(D>K,K,D,2.5,0),COLORGREEN,LINETHICK1,NODRAW;
A1:=BARSLAST(REF(CROSS(K,D),1));
底背離:REF(CLOSE,A1+1)>CLOSE AND K>REF(K,A1+1) AND CROSS(K,D);
DRAWLINE(A1=0,1.2,底背離,1.5,0),COLORRED,LINETHICK2;
A2:=BARSLAST(REF(CROSS(D,K),1));
頂背離:REF(CLOSE,A2+1)<CLOSE AND REF(D,A2+1)>D AND CROSS(D,K);
DRAWLINE(A2=0,1.2,頂背離,1.5,0),COLORGREEN,LINETHICK2;
DRAWTEXT(底背離>0,1.2,'底背離'),COLORRED;
DRAWTEXT(頂背離>0,1.3,'頂背離'),COLORGREEN;

❹ 兩個指標的組合分析最適合用哪種分析法

兩個指標的組合分析最適合用的分析法:

1、邦財務分析體系

利用幾種主要的財務比回率之間的關系來綜合地分析答企業的財務狀況。具體來說,它是一種用來評價公司盈利能力和股東權益回報水平,從財務角度評價企業績效的一種經典方法。以凈資產收益率為核心,通過分析各分解指標的變動對凈資產收益率的影響來揭示企業獲利能力及其變動原因。

2、沃爾比重評分法

是指將選定的財務比率用線性關系結合起來,並分別給定各自的分數比重,然後通過與標准比率進行比較,確定各項指標的得分及總體指標的累計分數,從而對企業的信用水平作出評價的方法。沃爾比重評分法的公式為:實際分數=實際值÷標准值×權重。

❺ 如何把量比指標 編入其他指標中 將兩個指標合二為一

可以同時選擇兩個技術指標窗口,然後把它保存下來,以便下次使用。至於,要把指標合二為一,恐怕是不行的,因為一個指標就一個公式。

❻ 請問怎麼讓這兩個通達信指標疊加一起

你的公式有問題啊
DIFF等重復定義.刪除後面定義的.
以下為合並公式,但效果欠佳,不用為好.

◆短線操盤:EMA(C,13),COLORCD7F32,LINETHICK2;◆中級趨勢:EMA(C,89),COLOR8C7853,LINETHICK1;◆長期趨勢:EMA(C,89),COLOR4D4DFF,LINETHICK1;STICKLINE(C,H,L,0,0),COLORFF0000;STICKLINE(C>=O,C,O,2,1),COLORFF0000;STICKLINE(C<O,C,O,2,0),COLORFF0000;STICKLINE(C>=◆短線操盤,H,L,0,0),COLOR22FFFF;STICKLINE(C>=◆短線操盤 AND C>=O,C,O,2,0),COLOR22FFFF;STICKLINE(C>=◆短線操盤 AND C<O,C,O,2,1),COLOR22FFFF;STICKLINE(C>=◆中級趨勢,H,L,0,0),COLORFF22FF;STICKLINE(C>=◆中級趨勢 AND C>=O,C,O,2,0),COLORFF22FF;STICKLINE(C>=◆中級趨勢 AND C<O,C,O,2,1),COLORFF22FF;STICKLINE(C>=◆長期趨勢,H,L,0,0),COLOR2222FF;STICKLINE(C>=◆長期趨勢 AND C>=O,C,O,2,0),COLOR2222FF;STICKLINE(C>=◆長期趨勢 AND C<O,C,O,2,1),COLOR2222FF; MID : MA(CLOSE,20),LINETHICK1;UPPER: MID + 2*STD(CLOSE,20),LINETHICK1;LOWER: MID - 2*STD(CLOSE,20),LINETHICK1;DIFF:=( EMA(CLOSE,7) - EMA(CLOSE,19)); DEA:=EMA(DIFF,9); MACD:=0.90*(DIFF-DEA); TJ:=(DIFF>=DEA); TJ1:=(DIFF>=0); STICKLINE(TJ,H,L,0.5,0),COLORYELLOW; STICKLINE(TJ,O,C,4,0),COLORYELLOW; STICKLINE(TJ1 AND TJ,H,L,0.5,0),COLORF00FF0; STICKLINE(TJ1 AND TJ,O,C,4,1),COLORF00FF0; STICKLINE(DIFF<DEA,H,L,0.5,0),COLORF0F000; STICKLINE(DIFF<DEA,O,C,4,0),COLORF0F000; VAR1:=(CLOSE*2+HIGH+LOW)/4; SK:= EMA(VAR1,13)-EMA(VAR1,73); SD:= EMA(SK,2); DRAWTEXT((CROSS(SK,SD) AND SK<-0.04 AND (C-REF(C,1))/REF(C,1)>=0.03) OR (CROSS(SK,SD) AND SK<=-0.14 ) OR (CROSS(SK,SD) AND SK<=0.05 AND (V/MA(V,5)>2 OR C/REF(C,1)>0.035)) ,L*0.99,'~'),COLORGREEN; STICKLINE((CROSS(SK,SD) AND SK<-0.04 AND (C-REF(C,1))/REF(C,1)>=0.03) OR (CROSS(SK,SD) AND SK<=-0.14 ) OR (CROSS(SK,SD) AND SK<=0.05 AND (V/MA(V,5)>2 OR C/REF(C,1)>0.035)),H,L,0.5,0),COLORRED; STICKLINE((CROSS(SK,SD) AND SK<-0.04 AND (C-REF(C,1))/REF(C,1)>=0.03) OR (CROSS(SK,SD) AND SK<=-0.14 ) OR (CROSS(SK,SD) AND SK<=0.05 AND (V/MA(V,5)>2 OR C/REF(C,1)>0.035)),O,C,10,1),COLORRED;
紅多綠空:EMA(CLOSE,13)*0.9993,COLORRED,LINETHICK0;
支撐線:EMA(CLOSE,55),COLORYELLOW,LINETHICK2;
壓力線:EMA(CLOSE,89),COLORMAGENTA,LINETHICK2;
DEA1:=MA(MACD,5),LINETHICK2,COLORFF8080;
IF(DEA1>0,紅多綠空,DRAWNULL),COLORRED,LINETHICK3;
IF(DEA1<0,紅多綠空,DRAWNULL),COLOR00FF00,LINETHICK3;

(已經測試,復制可直接使用)

❼ 如何將兩個外匯指標合並成一個

抄低指標
HLM1:=MA(HHV(H,485),17);
HLM2:=MA(HHV(H,222),17);
HLM3:=MA(HHV(H,96),17);
HLM4:=MA(LLV(L,485),17);
HLM5:=MA(LLV(L,222),17);
HLM6:=MA(LLV(L,96),17);
HLM7:=MA((HLM1*0.558+HLM2*0.558+HLM3*0.558+HLM4*0.96+HLM5*0.96+HLM6*0.96)/6,17);
HLM8:=MA((HLM1*0.55+HLM2*0.55+HLM3*0.65+HLM4*1.25+HLM5*1.23+HLM6*1.2)/6,17);
HLM9:=MA((HLM1*0.68+HLM2*0.68+HLM3*0.68+HLM4*1.3+HLM5*1.3+HLM6*1.3)/6,17);
HLM10:=MA((HLM7*3+HLM8*2+HLM9)/6*1.738,17);
HLM11:=SMA(ABS(L-REF(L,1)),3,1)/SMA(MAX(L-REF(L,1),0),3,1)*100;
HLM12:=MA(IF(C*1.35<=HLM10,HLM11*10,HLM11/10),3);
HLMH:=HHV(HLM12,30);
關注:MA(IF(L<=LLV(L,13),(HLMH+HLM11*2)/2,0),3)/200,COLORFFFFFF;
DRAWTEXT(CROSS(關注,1.2),關注*0.5-6,'↑▲'),COLORFF00FF;
DRAWTEXT(CROSS(關注,4.5),關注,'B'),COLOR00FFFF;
DRAWICON(CROSS(關注,7.0),關注*0.5-20,14);

頂部指標:
{當日主力買入量:SUM((DYNAINFO(23)/2+DYNAINFO(22)/10)/2,60);}
RSV:=(CLOSE-LLV(LOW,9))/(HHV(HIGH,9)-LLV(LOW,9))*100;
K:=SMA(RSV,3,1);
D:=SMA(K,3,1);
DIFF:= EMA(CLOSE,12) - EMA(CLOSE,26),COLORWHITE;
DEA:= EMA(DIFF,9);
A1:=V-REF(V,3);
A2:=V-REF(V,10);
A3:=MA(C,5)>MA(C,10) AND MA(C,10)>MA(C,20) AND DIFF>DEA AND DEA>0;
XX0:=K>D AND A1>REF(A1,1) AND A2>REF(A2,1) AND A3,COLORGREEN;
MA5:=MA(INDEXC,5);
MA10:=MA(INDEXC,10);
MA20:=MA(INDEXC,20);
XX1:=MA5>MA10 AND MA10>MA20 AND D>50;
XX2:=DEA>0 AND DIFF>DEA AND C>MA(C,60);
MA1:=MA(C,5);
MA2:=MA(C,10);
MA3:=MA(C,20);
XX3:=MA1>MA2 AND MA2>MA3 AND MA(C,60)>REF(MA(C,60),1);
XX:=XX0 AND XX1 AND XX2 AND XX3;
籌碼0:=COST(10)/(COST(80)-COST(10));
看底:=HHV(籌碼0,20);
看頂:=LLV(籌碼0,20);
頂部提示:IF(籌碼0= 看頂 AND XX,100,0);
STICKLINE(籌碼0= 看頂 AND XX,70,0,4,0);

❽ 請教通達信中怎麼把下面2個選股指標合並,實測好給加分

MA1:=MA(CLOSE,20);
MA2:=MA(CLOSE,22);
MA3:=MA(CLOSE,24);
MA4:=MA(CLOSE,30);
MA5:=MA(CLOSE,50);
MA6:=MA(CLOSE,60);
MA7:=MA(CLOSE,65);
MA8:=MA(CLOSE,70);
B:=CROSS(C,MA1)&&C>MA2&&C>MA3&&C>MA4&&C>MA5&&C>MA6&&C>MA7&&C>MA8;
DIF:=EMA(CLOSE,12)-EMA(CLOSE,26);
DEA:=EMA(DIF,9);
MACD:=(DIF-DEA)*2;
XG:CROSS(MACD,0) AND DIF>0 AND B;

❾ 2個指標公式合並成一個,哪位大神幫忙。 第一個公式 VAR1:=SMA(AMOUNT,10,1)/

MID:=(3*CLOSE+LOW+OPEN+HIGH)/6;
主力:(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)),COLORRED;

VAR1:=SMA(AMOUNT,10,1)/10000;
VAR2:=REF(VAR1,1);
資金運轉: STICKLINE(VAR1>VAR2,VAR1,VAR2,2.5,0),COLORRED;
資金流失: STICKLINE(VAR1< VAR2,VAR1,VAR2,2.5,0),COLORGREEN;

雖然按照你的要求做了,但是不明白這兩個公式有什麼關系?一個和量有關,一個是價格,兩個指標根本不是一碼事,合在一起看不出有什麼意義。

❿ 有哪位老師能把以下的兩個指標合成為一個選股指標嗎

{OK.測試通過}
VAR2T:=(100 - ((90 * (HHV(HIGH,21) - CLOSE)) / (HHV(HIGH,21) - LLV(LOW,21))));
VAR3T:=(100 - MA(((100 * (HHV(HIGH,6) - CLOSE)) / (HHV(HIGH,6) - LLV(LOW,6))),34));
漲幅:=(C-REF(C,1))/REF(C,1)*100;
VARA:=C>REF(C,1) AND C>REF(C,2);
VARB:=C<REF(C,1) AND C<REF(C,2);
VAR1:=REF(VARB,1) AND C>=REF(C,1) AND C<=REF(C,2);
VAR2:=REF(VAR1,1) AND C<=REF(C,1) AND C>=REF(C,2);
VAR3:=REF(VAR2,1) AND C>=REF(C,1) AND C<=REF(C,2);
VAR4:=REF(VAR3,1) AND C<=REF(C,1) AND C>=REF(C,2);
VAR5:=REF(VAR4,1) AND C>=REF(C,1) AND C<=REF(C,2);
VAR6:=REF(VAR5,1) AND C<=REF(C,1) AND C>=REF(C,2);
VAR7:=REF(VAR6,1) AND C>=REF(C,1) AND C<=REF(C,2);
VAR8:=REF(VAR7,1) AND C<=REF(C,1) AND C>=REF(C,2);
VAR9:=REF(VAR8,1) AND C>=REF(C,1) AND C<=REF(C,2);
VAR10:=REF(VAR9,1) AND C<=REF(C,1) AND C>=REF(C,2);
VAR11:=REF(VAR10,1) AND C>=REF(C,1) AND C<=REF(C,2);
JIN:=VARB OR VAR1 OR VAR2 OR VAR3 OR VAR4 OR VAR5 OR VAR6 OR VAR7 OR VAR8 OR VAR9 OR VAR10 OR VAR11;
寶塔線轉陽信號:=VARA AND REF(JIN,1);
MID:=REF(HIGH+LOW,1)/2;
CR:=SUM(MAX(0,HIGH-MID),26)/SUM(MAX(0,MID-LOW),26)*100;
股海四劍客:=CROSS(VAR2T,MA(VAR3T,6)) AND 寶塔線轉陽信號 AND CR>REF(CR,1) AND 漲幅>9;
VVOL:=IF(CURRBARSCOUNT=1 AND PERIOD=5,VOL*240/FROMOPEN,VOL);
X:=VVOL/REF(V,1)>=3;
股海四劍客 AND X;

閱讀全文

與兩個指標合並方法相關的資料

熱點內容
再生銅投資 瀏覽:70
傳統外匯海星 瀏覽:897
期貨外匯公司 瀏覽:388
掌眾金額小額貸款 瀏覽:502
華天科技股票分析 瀏覽:746
海星股票 瀏覽:589
3900港元多少人民幣多少 瀏覽:714
幫貸寶貸款靠譜嗎 瀏覽:92
ADx融資 瀏覽:380
p2p理財圖片 瀏覽:939
國元證券基金託管 瀏覽:578
今日菜百黃金價格多少錢一克 瀏覽:29
速賣通外匯申報 瀏覽:89
人造肉概念股票基金 瀏覽:745
通達信資金分時凈買入指標 瀏覽:277
北川幣理財 瀏覽:319
df融資 瀏覽:462
手機版東方財富怎麼看北向資金 瀏覽:26
一元創業投資管理有限公司 瀏覽:584
股票什麼書好 瀏覽:722