这个公式的思路是这样的。最近的涨停不破低点,然后创出新高。再加上多头排列,200乖离不大。希望能有高手继续能进一步优化。这是本人原创,但不知以前有无类似的,如已有,无心冒犯。下图是今天选股做的,挑了几只。 A:=(C-REF(C,1))/REF(C,1)*100>9.9 AND C=H; B:=BARSLAST(A); D:=REF(C,B)=REF(HHV(H,B),1); D1:=REF(L,B)=REF(LLV(L,B+1),1); E:=C>REF(C,B); F:=C<REF(C,B); G:=UPNDAY(MA(C,10),3); G1:=UPNDAY(MA(C,30),3); G2:=MA(C,10)>MA(C,30); G3:=G AND G1 AND G2; G4:=(C-MA(C,200))/MA(C,200)*100<30 AND (C-MA(C,200))/MA(C,200)*100>5; G5:=G3 AND G4; TFILTER(E,F,1) AND G5 AND D1 AND B<9; |
