这个指标的核心就是乖离 BIAS1:=(CLOSE-MA(CLOSE,13))/MA(CLOSE,13)*100/0.7;
A1:IF(BIAS1<-12,100,75),COLORRED;
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BIAS2 :=(CLOSE-MA(CLOSE,6))/MA(CLOSE,6)*100*2;
A2:IF(BIAS2<-9,70,50),COLOR00FF00;
BIAS3 :=(CLOSE-MA(CLOSE,11))/MA(CLOSE,11)*100/0.3/1.3/1.5;
A3:IF(BIAS3<-12,45,25),COLORWHITE;
VAR1N:=MA(CLOSE,5);
VAR2N:=MA(CLOSE,10);
VAR3N:=(VAR1N-CLOSE)/CLOSE>13/100;
VAR4N:=(VAR2N+VAR1N)/VAR1N>0.03;
VAR5N:=LLV(CLOSE,1)=LLV(CLOSE,1);
M:IF(VAR3N AND VAR4N AND VAR5N,20,0),COLOR00FF00;
100;
0;
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