1、财务良好的选股指标 A1:=FINANCE(33)/FINANCE(34)*100>8;{股东权益报酬率} A2:=FINANCE(34)>1.5;{每股净资产} A3:=FINANCE(32)>0.3;{每股未分配利润} A4:=FINANCE(20)/(FINANCE(20)+FINANCE(22)+FINANCE(24)+FINANCE(25))*100>55;{主营收入占比} A5:=FINANCE(25)/FINANCE(1);{每股经营现金流} A6:=FINANCE(25)/FINANCE(29)>0.6;{现金流利润比} A7:=FINANCE(26)/FINANCE(1);{每股总现金流} A8:=FINANCE(1)*C/FINANCE(25)>0 AND FINANCE(1)*C/FINANCE(25)<60;{股价现金流比} A1&&A2&&A3&&A4&&A6&&A8;
2、财务优秀的选股指标 A1:=FINANCE(33)/FINANCE(34)*100>10;{股东权益报酬率} A2:=FINANCE(34)>2;{每股净资产} A3:=FINANCE(32)>0.5;{每股未分配利润} A4:=FINANCE(20)/(FINANCE(20)+FINANCE(22)+FINANCE(24)+FINANCE(25))*100>80;{主营收入占比} A5:=FINANCE(25)/FINANCE(1);{每股经营现金流} A6:=FINANCE(25)/FINANCE(29)>0.95;{现金流利润比} A7:=FINANCE(26)/FINANCE(1);{每股总现金流} A8:=FINANCE(1)*C/FINANCE(25)>0 AND FINANCE(1)*C/FINANCE(25)<60;{股价现金流比} A1&&A2&&A3&&A4&&A6&&A8;
3、行情启动关注股选股指标 RSV1:=(CLOSE-LLV(LOW,9))/(HHV(HIGH,9)-LLV(LOW,9))*100; RSV2:=(CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100; WEN:=3*SMA((CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100,5,1)-2*SMA(SMA((CLOSE-LLV(LOW,27))/(HHV(HIGH,27)-LLV(LOW,27))*100,5,1),3,1); J1:=SMA(RSV1,3,1); J2:=SMA(J1,3,1); W1:=SMA(RSV2,3,1); W2:=SMA(W1,3,1); 出点准备:=IF(CROSS(J2,J1) AND J2>85,70,100); 趋势线:=WEN,LINETHICK2; 买点准备:=IF(趋势线<=10,30,0); G1:=W1,LINETHICK2,COLORWHITE; G2:=W2,LINETHICK2,COLORCYAN; TJ6:=MA(C,30)>=REF(MA(C,30),1) AND MA(C,5)>REF(MA(C,5),1); A4:="MACD.DIF">REF("MACD.DIF",2); 信号:CROSS(趋势线,G1) AND CROSS(趋势线,G1) AND TJ6 AND A4 AND G1>=REF(G1,1);
4、优价值评估池选股指标 PEG:= (C/FINANCE(33))/(FINANCE(21)/FINANCE(20)+0.038)/100;{P/EG:市盈成长率指标:衡量投资的安全边际 <1} ROE:=FINANCE(30)/FINANCE(19)*100;{资金利用率也不能太低:巴菲特 的看法是需要15以上,但中国的股票不可理喻} 毛利:=FINANCE(21)/FINANCE(20)*100;{毛利太小的股票,我的看法经营已经偏离投资价值} 股值:=FINANCE(34)+FINANCE(18)+FINANCE(32);{股值=每股净资产+每股资本公积金+每股未分配利润} 盘力:=FINANCE(7)/100000000*CLOSE;{盘力:我的看法是主力操盘的资金,不能单看流通盘应该结合股价} XG2: PEG<1 AND ROE>5 AND 毛利>10 AND 股值>1 AND 盘力<250;
5、老鸭头选股指标 MA5:=MA(C,5); MA10:=MA(C,10); MA20:=MA(C,20); MA30:=MA(C,30); MA120:=SMA(C,120,1); ZH:=ABS(MA5-MA20)/MA20*100<=10; GG:=ABS(MA5-MA30)/MA30*100<=10; HH:=MA5>REF(MA5,1); QS:=MA20>REF(MA20,1); ZZ:=MA30>REF(MA30,1); DTPL:=MA20>MA30 AND MA30>MA120; QQ:=DTPL AND QS AND ZZ AND COUNT(HH,4)<=1; HS:=C>MA5 AND ((HH AND NOT(REF(HH,1))) OR C>REF(C,3)); TT:=HS AND (ZH OR GG) AND QQ; RR:=CAPITAL>1000000 ; WW:=TT AND NOT(REF(TT,1)); WW1:=CROSS(MACD.MACD,0) AND C>MA(C,5); 老鸭头爆点:WW AND COUNT((MA10>MA20),5)=5 AND WW1 AND RR;
6、日自多头均线选股指标 M1:=MA(CLOSE,5);{5日均线} M2:=MA(CLOSE,13); {13日均线} M3:=MA(CLOSE,21); {21日均线} M4:=MA(CLOSE,60); {60日均线} M5:=MA(CLOSE,120); {120日均线} M6:=MA(CLOSE,250); {250日均线} V1:=MA(VOL,50); PDAY1:=BARSLAST(CROSS(M1,M2));{5日均线上穿13日均线到当前的天数} PDAY2:=BARSLAST(CROSS(M1,M3)); {5日均线上穿21日均线到当前的天数} PDAY3:=BARSLAST( CROSS(M2,M3)); {13日均线上穿21日均线到当前的天数} PDAY4:=BARSLAST(CROSS(M4,M5)); {60日均线上穿120日均线到当前的天数} PDAY5:=BARSLAST(CROSS(M5,M6));{ 120日均线上穿250日均线到当前的天数} LTJ1:=(PDAY1>PDAY2 OR PDAY1=PDAY2) AND (PDAY2>PDAY3 OR PDAY2=PDAY3) ;{5日均线上穿13日均线之后再上穿21日均线,或者5日均线同时上穿13日和21日均线;5日均线上穿21日均线之后13日均线再上穿21日均线,或者5日和13日均线同时上穿21日均线} LTJ2:=CLOSE>M1 AND M1>M2 AND M2>M3;{收盘价在5日均线之上,5日、13日、21日均线自上而下依次多头排列} LTJ3:= M1>REF(M1,3) AND M2>REF(M2,2) AND M3>REF(M3,1);{5日、13日、21日均线都向上} LTJ4:=VOL>V1;{成交量站上50日成交量均线} LTJ5:=CLOSE>OPEN;{收盘价大于开盘价,收阳线} LTJ6:=ABS(HIGH-CLOSE)<ABS(LOW-OPEN);{下影线比上影线要长(该条件可以取消)} LTJ1&<J2&<J3&<J4&<J5&<J6;
7、周线多头选股指标 M1:=MA(CLOSE,5);{5日均线} M2:=MA(CLOSE,13); {13日均线} M3:=MA(CLOSE,21); {21日均线} M4:=MA(CLOSE,60); {60日均线} M5:=MA(CLOSE,120); {120日均线} M6:=MA(CLOSE,250); {250日均线} V1:=MA(VOL,50); PDAY1:=BARSLAST(CROSS(M1,M2));{5日均线上穿13日均线到当前的天数} PDAY2:=BARSLAST(CROSS(M1,M3)); {5日均线上穿21日均线到当前的天数} PDAY3:=BARSLAST( CROSS(M2,M3)); {13日均线上穿21日均线到当前的天数} PDAY4:=BARSLAST(CROSS(M4,M5)); {60日均线上穿120日均线到当前的天数} PDAY5:=BARSLAST(CROSS(M5,M6));{ 120日均线上穿250日均线到当前的天数} LTJ1:=(PDAY1>PDAY2 OR PDAY1=PDAY2);{5日均线上穿13日均线之后再上穿21日均线,或者5日均线同时上穿13日和21日均线;5日均线上穿21日均线之后13日均线再上穿21日均线,或者5日和13日均线同时上穿21日均线} LTJ2:=CLOSE>M1;{收盘价在5日均线之上,5日、13日、21日均线自上而下依次多头排列} LTJ3:= M1>REF(M1,1) AND M2>REF(M2,1);{5日、13日、21日均线都向上} LTJ1&<J2&<J3;
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