币圈死叉是什么意思 币圈高位死叉

A. KDJ持股中什么是多头并列,什么是金叉,什么是死叉(图中怎么看)

DMI:动向指标。(参考)
1、 黄金交叉与死亡交叉,当-DI向上突破+DI时是黄金交叉,是买入时机,当+DI向下突破-DI时是死亡交叉,是卖出时机。
2、 当ADX和+DI一起涨时是多头市场,当ADX和-DI一起涨时是空头市场。
3、 ADX从高处下落时是转势,转折强烈时亦可考虑卖出或买入。

DIF、MACD> 0:多头市场;DIF、MACD< 0:空头市场;KD<20:买;KD> 80:卖;0< RSI<50:弱;50< RSI<100:强;
RSI> 80:超买区;RSI<20:超卖区;BIAS:-4.5~7%或5~8%;W%R在0~20之间变化时只表示市场处于较强的上升趋势中。

MACD指标的一般研判标准
MACD指标是市场上绝大多数投资者熟知的分析工具,但在具体运用时,投资者可能会觉得MACD指标的运用的准确性、实效性、可操作性上有很多茫然的地方,有时会发现用从书上学来的MACD指标的分析方法和技巧去研判股票走势,所得出的结论往往和实际走势存在着特别大的差异,甚至会得出相反的结果。这其中的主要原因是市场上绝大多数论述股市技术分析的书中关于MACD的论述只局限在表面的层次,只介绍MACD的一般分析原理和方法,而对MACD分析指标的一些特定的内涵和分析技巧的介绍鲜有涉及。本节将在介绍MACD指标的一般研判技巧和分析方法基础上,详细阐述MACD的特殊研判原理和功能。
MACD指标的一般研判标准主要是围绕快速和慢速两条均线及红、绿柱线状况和它们的形态展开。一般分析方法主要包括DIF和MACD值及它们所处的位置、DIF和MACD的交叉情况、红柱状的收缩情况和MACD图形的形态这四个大的方面分析。
一、DIF和MACD的值及线的位置
1、当DIF和MACD均大于0(即在图形上表示为它们处于零线以上)并向上移动时,一般表示为股市处于多头行情中,可以买入或持股;
2、当DIF和MACD均小于0(即在图形上表示为它们处于零线以下)并向下移动时,一般表示为股市处于空头行情中,可以卖出股票或观望。
3、当DIF和MACD均大于0(即在图形上表示为它们处于零线以上)但都向下移动时,一般表示为股票行情处于退潮阶段,股票将下跌,可以卖出股票和观望;
4、当DIF和MACD均小于0时(即在图形上表示为它们处于零线以下)但向上移动时,一般表示为行情即将启动,股票将上涨,可以买进股票或持股待涨。
二、DIF和MACD的交叉情况
1、当DIF与MACD都在零线以上,而DIF向上突破MACD时,表明股市处于一种强势之中,股价将再次上涨,可以加码买进股票或持股待涨,这就是MACD指标“黄金交叉”的一种形式。
2、当DIF和MACD都在零线以下,而DIF向上突破MACD时,表明股市即将转强,股价跌势已尽将止跌朝上,可以开始买进股票或持股,这是MACD指标“黄金交叉”的另一种形式。
3、当DIF与MACD都在零线以上,而DIF却向下突破MACD时,表明股市即将由强势转为弱势,股价将大跌,这时应卖出大部分股票而不能买股票,这就是MACD指标的“死亡交叉”的一种形式。
4、当DIF和MACD都在零线以上,而DIF向下突破MACD时,表明股市将再次进入极度弱市中,股价还将下跌,可以再卖出股票或观望,这是MACD指标“死亡交叉”的另一种形式。
三、MACD指标中的柱状图分析
在股市电脑分析软件中(如钱龙软件)通常采用DIF值减DEA(即MACD、DEM)值而绘制成柱状图,用红柱状和绿柱状表示,红柱表示正值,绿柱表示负值。用红绿柱状来分析行情,既直观明了又实用可靠。
1、当红柱状持续放大时,表明股市处于牛市行情中,股价将继续上涨,这时应持股待涨或短线买入股票,直到红柱无法再放大时才考虑卖出。
2、当绿柱状持续放大时,表明股市处于熊市行情之中,股价将继续下跌,这时应持币观望或卖出股票,直到绿柱开始缩小时才可以考虑少量买入股票。
3、当红柱状开始缩小时,表明股市牛市即将结束(或要进入调整期),股价将大幅下跌,这时应卖出大部分股票而不能买入股票。
4、当绿柱状开始收缩时,表明股市的大跌行情即将结束,股价将止跌向上(或进入盘整),这时可以少量进行长期战略建仓而不要轻易卖出股票。
5、当红柱开始消失、绿柱开始放出时,这是股市转市信号之一,表明股市的上涨行情(或高位盘整行情)即将结束,股价将开始加速下跌,这时应开始卖出大部分股票而不能买入股票。
6、当绿柱开始消失、红柱开始放出时,这也是股市转市信号之一,表明股市的下跌行情(或低位盘整)已经结束,股价将开始加速上升,这时应开始加码买入股票或持股待涨。

KDJ指标的中文名称是随机指数,最早起源于期货市场。

KDJ指标的应用法则KDJ指标是三条曲线,在应用时主要从五个方面进行考虑:KD的取值的绝对数字;KD曲线的形态;KD指标的交叉;KD指标的背离;J指标的取值大小。

第一,从KD的取值方面考虑。KD的取值范围都是0~100,将其划分为几个区域:80以上为超买区,20以下为超卖区,其余为徘徊区。

根据这种划分,KD超过80就应该考虑卖出了,低于20就应该考虑买入了。应该说明的是,上述划分只是一个应用KD指标的初步过程,仅仅是信号,完全按这种方法进行操作很容易招致损失。

第二,从KD指标曲线的形态方面考虑。当KD指标在较高或较低的位置形成了头肩形和多重顶(底)时,是采取行动的信号。注意,这些形态一定要在较高位置或较低位置出现,位置越高或越低,结论越可靠。

第三,从KD指标的交叉方面考虑。K与D的关系就如同股价与MA的关系一样,也有死亡交叉和黄金交叉的问题,不过这里交叉的应用是很复杂的,还附带很多其他条件。

以K从下向上与D交叉为例:K上穿D是金叉,为买入信号。但是出现了金叉是否应该买入,还要看别的条件。第一个条件是金叉的位置应该比较低,是在超卖区的位置,越低越好。

第二个条件是与D相交的次数。有时在低位,K、D要来回交叉好几次。交叉的次数以2次为最少,越多越好。

第三个条件是交叉点相对于KD线低点的位置,这就是常说的“右侧相交”原则。K是在D已经抬头向上时才同D相交,比D还在下降时与之相交要可靠得多。

第四,从KD指标的背离方面考虑。在KD处在高位或低位,如果出现与股价走向的背离,则是采取行动的信号。

第五,J指标取值超过100和低于0,都属于价格的非正常区域,大于100为超买,小0为超卖。

B. KDJ线的金叉和死叉是什么意思

KDJ曲线的交叉分为黄金交叉和死亡交叉两种形式

一般而言,在一个股票的完整的升势和跌势过程中,KDJ指标中的K、D、J线会出现两次或以上的“黄金交叉”和“死亡交叉”情况。

1、当股价经过一段很长时间的低位盘整行情,并且K、D、J三线都处于50线以下时,一旦J线和K线几乎同时向上突破D线时,表明股市即将转强,股价跌势已经结束,将止跌朝上,可以开始买进股票,进行中长线建仓。这是KDJ指标“黄金交叉”的一种形式。

2、当股价经过一段时间的上升过程中的盘整行情,并且K、D、J线都处于50线附近徘徊时,一旦J线和K线几乎同时再次向上突破D线,成交量再度放出时,表明股市处于一种强势之中,股价将再次上涨,可以加码买进股票或持股待涨,这就是KDJ指标“黄金交叉”的一种形式。

3、当股价经过前期一段很长时间的上升行情后,股价涨幅已经很大的情况下,一旦J线和K线在高位(80以上)几乎同时向下突破D线时,表明股市即将由强势转为弱势,股价将大跌,这时应卖出大部分股票而不能买股票,这就是KDJ指标的“死亡交叉”的一种形式。

4、当股价经过一段时间的下跌后,而股价向上反弹的动力缺乏,各种均线对股价形成较强的压力时,KDJ曲线在经过短暂的反弹到80线附近,但未能重返80线以上时,一旦J线和K线再次向下突破D线时,表明股市将再次进入极度弱市中,股价还将下跌,可以再 卖出股票或观望,这是KDJ指标“死亡交叉”的另一种形式。

(2)币圈死叉扩展阅读:

KDJ的计算比较复杂,首先要计算周期(n日、n周等)的RSV值,即未成熟随机指标值,然后再计算K值、D值、J值等。以n日KDJ数值的计算为例,其计算公式为

n日RSV=(Cn-Ln)/(Hn-Ln)×100

公式中,Cn为第n日收盘价;Ln为n日内的最低价;Hn为n日内的最高价。

其次,计算K值与D值:

当日K值=2/3×前一日K值+1/3×当日RSV

当日D值=2/3×前一日D值+1/3×当日K值

若无前一日K 值与D值,则可分别用50来代替。

J值=3*当日K值-2*当日D值

以9日为周期的KD线为例,即未成熟随机值,计算公式为

9日RSV=(C-L9)÷(H9-L9)×100

公式中,C为第9日的收盘价;L9为9日内的最低价;H9为9日内的最高价。

K值=2/3×第8日K值+1/3×第9日RSV

D值=2/3×第8日D值+1/3×第9日K值

J值=3*第9日K值-2*第9日D值

若无前一日K值与D值,则可以分别用50代替。


A. What is a long parallel, what is a golden cross, and what is a dead cross in KDJ holdings (how to see it in the picture)

DMI: trend indicator. (Reference)
1. Golden cross and death cross. When -DI breaks through +DI upward, it is a golden cross, which is a buying opportunity. When +DI breaks through -DI downward, it is a death cross, which is a selling opportunity.
2. When ADX and +DI rise together, it is a long market; when ADX and -DI rise together, it is a short market.
3. When ADX falls from a high level, it is a turning point. When the turning point is strong, you can also consider selling or buying.

DIF, MACD> 0: long market; DIF, MACD< 0: short market; KD<20: buy; KD> 80: sell; 0< RSI<50: weak; 50< RSI< 100: Strong;
RSI> 80: Overbought zone; RSI<20: Oversold zone; BIAS: -4.5~7% or 5~8%; W%R only indicates when it changes between 0~20 The market is in a strong upward trend.

General evaluation standards for MACD indicators
The MACD indicator is an analysis tool that is familiar to most investors in the market, but when used in specific applications, investors may feel that the use of the MACD indicator is accurate. There are many uncertainties in terms of accuracy, effectiveness, and operability. Sometimes we find that using the MACD indicator analysis methods and techniques learned from books to judge stock trends often leads to conclusions that are very different from the actual trends. , even the opposite result can be obtained. The main reason for this is that the discussion of MACD in most books on stock market technical analysis in the market is only limited to the superficial level, only introducing the general analysis principles and methods of MACD, and some specific connotations and methods of MACD analysis indicators. Analytical techniques are rarely covered. This section will elaborate on the special analysis principles and functions of MACD on the basis of introducing the general research and judgment skills and analysis methods of the MACD indicator.
The general research and judgment standards of the MACD indicator mainly revolve around the two moving averages, fast and slow, as well as the status of the red and green pillar lines and their shapes. The general analysis method mainly includes four major analysis aspects: DIF and MACD values ​​and their positions, the intersection of DIF and MACD, the shrinkage of the red column and the shape of the MACD graph.
1. The values ​​of DIF and MACD and the position of the lines
1. When DIF and MACD are both greater than 0 (that is, graphically represented as they are above the zero line) and moving upward, it is generally expressed as the stock market In a long market, you can buy or hold stocks;
2. When DIF and MACD are both less than 0 (that is, graphically represented as being below the zero line) and moving downward, it is generally said that the stock market is in a short position OKIf the situation arises, you can sell stocks or wait and see.
3. When DIF and MACD are both greater than 0 (that is, graphically represented as being above the zero line) but both move downward, it generally means that the stock market is in the ebb stage, the stock will fall, and the stock can be sold. and wait and see;
4. When DIF and MACD are both less than 0 (that is, graphically represented as they are below the zero line) but move upward, it generally means that the market is about to start, the stock will rise, and the stock can be bought Or hold shares to rise.
2. Crossover situation between DIF and MACD
1. When DIF and MACD are both above the zero line, and DIF breaks through MACD upwards, it indicates that the stock market is in a strong position and the stock price will rise again. Buying more stocks or holding stocks to wait for a rise is a form of the "golden cross" of the MACD indicator.
2. When DIF and MACD are both below the zero line and DIF breaks through MACD upwards, it indicates that the stock market is about to strengthen and the stock price decline has stopped and turned upward. You can start buying stocks or holding shares. This is It is another form of the "golden cross" of the MACD indicator.
3. When DIF and MACD are both above the zero line, but DIF breaks through MACD downwards, it indicates that the stock market is about to turn from strong to weak, and the stock price will fall sharply. At this time, most stocks should be sold rather than bought. For stocks, this is a form of "death cross" on the MACD indicator.
4. When DIF and MACD are both above the zero line, and DIF breaks through MACD downwards, it indicates that the stock market will enter an extremely weak market again, and the stock price will fall. You can sell stocks or wait and see. This is MACD Another form of the indicator "Death Cross".
3. Histogram analysis in MACD indicator
In stock market computer analysis software (such as Qianlong Software), the DIF value minus the DEA (i.e. MACD, DEM) value is usually used to draw a histogram, using red Columns and green columns are represented, with red columns representing positive values ​​and green columns representing negative values. Using red and green columns to analyze the market is both intuitive, practical and reliable.
1. When the red column continues to enlarge, it indicates that the stock market is in a bull market and the stock price will continue to rise. At this time, you should hold the stock and wait for it to rise or buy the stock in the short term. You should not consider selling until the red column can no longer enlarge.
2. When the green column continues to enlarge, it indicates that the stock market is in a bear market and the stock price will continue to fall. At this time, you should wait and see or sell stocks. Only when the green column begins to shrink can you consider buying a small amount of stocks. .
3. When the red column begins to shrink, it indicates that the bull market in the stock market is about to end (or is about to enter an adjustment period), and the stock price will fall sharply. At this time, most stocks should be sold instead of bought.
4. When the green column begins to shrink, it indicates that the stock market's sharp decline is about to end, and the stock price will stop falling and rise (or enter consolidation). At this time, you can build a small amount of long-term strategic positions instead of selling stocks easily.
5. When the red column begins to disappear and the green column beginsWhen released, this is one of the signals of the stock market turning around, indicating that the rising trend (or high consolidation trend) of the stock market is about to end, and the stock price will begin to accelerate its decline. At this time, you should start selling most of the stocks instead of buying them.
6. When the green pillars begin to disappear and the red pillars begin to appear, this is also one of the signals for the stock market to turn around, indicating that the stock market's decline (or low consolidation) has ended and the stock price will begin to accelerate its rise. At this time, you should start Buy more stocks or hold them until they rise.

The Chinese name of KDJ indicator is stochastic index, which originated from the futures market.

The application rules of KDJ indicator KDJ indicator is three curves. When applying, it is mainly considered from five aspects: the absolute number of KD value; the shape of KD curve; the intersection of KD indicator; KD indicator divergence; the value of the J indicator.

First, consider the value of KD. The value range of KD is 0 to 100, which is divided into several areas: above 80 is the overbought area, below 20 is the oversold area, and the rest are wandering areas.

According to this division, if KD exceeds 80, you should consider selling, and if KD is below 20, you should consider buying. It should be noted that the above division is only a preliminary process of applying the KD indicator and is only a signal. It is easy to cause losses if you operate entirely according to this method.

Second, consider the shape of the KD indicator curve. When the KD indicator forms a head and shoulders pattern and multiple tops (bottoms) at a higher or lower position, it is a signal to take action. Note that these forms must appear at a higher or lower position. The higher or lower the position, the more reliable the conclusion.

Third, consider the intersection of KD indicators. The relationship between K and D is just like the relationship between stock price and MA. There are also issues such as death cross and golden cross. However, the application of cross here is very complicated and comes with many other conditions.

Take K crossing D from bottom to top as an example: K crossing D above is a golden cross, which is a buy signal. But whether you should buy the golden cross depends on other conditions. The first condition is that the position of the golden cross should be relatively low, in the oversold zone. The lower the better.

The second condition is the number of intersections with D. Sometimes in the low position, K and D have to cross back and forth several times. The minimum number of crossovers is 2, and the more, the better.

The third condition is the position of the intersection point relative to the low point of the KD line. This is the often said "right-side intersection" principle. K only intersects D when D is already looking up, which is much more reliable than intersecting D when D is still falling.

Fourth, consider the divergence of the KD indicator. When KD is at a high or low level, if there is a deviation from the stock price trend, it is a signal to take action.

Fifth, the value of J indicator exceeds 100 and is lower than 0, which belongs to the abnormal area of ​​price.Domain, if it is greater than 100, it is overbought, and if it is less than 0, it is oversold.

B. What do the golden crosses and dead crosses of the KDJ line mean?

The intersection of the KDJ curve is divided into two forms: golden cross and death cross

Generally speaking, In other words, during a stock's complete uptrend and downtrend, the K, D, and J lines in the KDJ indicator will have two or more "golden crosses" and "death crosses".

1. When the stock price has been consolidating at a low level for a long time, and the K, D, and J lines are all below the 50 line, once the J line and the K line break through the D line upward almost simultaneously, it indicates that The stock market is about to get stronger, the stock price decline has ended, and will stop falling and move upward. You can start buying stocks and build medium and long-term positions. This is a form of the "golden cross" of the KDJ indicator.

2. When the stock price consolidates after a period of rising, and the K, D, and J lines are all hovering near the 50 line, once the J line and the K line break through the D line upward again almost at the same time , when the trading volume is released again, it indicates that the stock market is in a strong state and the stock price will rise again. You can add more stocks to buy or hold shares to wait for the rise. This is a form of the "golden cross" of the KDJ indicator.

3. After the stock price has risen for a long period of time in the early stage, the stock price has increased significantly. Once the J line and K line are at a high level (above 80), they will break through the D line downwards at almost the same time. At this time, it indicates that the stock market is about to turn from strong to weak, and the stock price will plummet. At this time, most stocks should be sold instead of buying stocks. This is a form of "death cross" of the KDJ indicator.

4. When the stock price has fallen for a period of time, but the stock price lacks the motivation to rebound upward, and various moving averages put strong pressure on the stock price, the KDJ curve rebounds to near the 80 line after a short period of time. But when it fails to return above the 80 line, once the J line and K line break through the D line downward again, it indicates that the stock market will once again enter an extremely weak market, and the stock price will fall. You can sell the stock or wait and see. This is KDJ Another form of the indicator "Death Cross".

(2) Extended reading of the dead cross in the currency circle:

The calculation of KDJ is relatively complicated. First, the period (n days, n weeks, etc.) must be calculated. The RSV value is the immature stochastic indicator value, and then the K value, D value, J value, etc. are calculated. Taking the calculation of the n-day KDJ value as an example, the calculation formula is

n-day RSV=(Cn-Ln)/(Hn-Ln)×100

In the formula, Cn is The closing price on the nth day; Ln is the lowest price within n days; Hn is the highest price within n days.

Secondly, calculate the K value and D value:

K value of the day = 2/3 × K value of the previous day + 1/3 × RSV of the day

Today's D value = 2/3 × previous day's D value + 1/3 × current day's K value

If there is no previous day's K value and D value, 50 can be used instead.

J value=3*K value of the day-2*D value of the day

Take the 9-day KD line as an example, that is, the immature random value. The calculation formula is

9-day RSV=(C-L9)÷(H9-L9)× 100

In the formula, C is the closing price on the 9th day; L9 is the lowest price within 9 days; H9 is the highest price within 9 days.

K value=2/3×K value on the 8th day+1/3×RSV on the 9th day

D value=2/3×D value on the 8th day+1/ 3×K value on the 9th day

J value=3*K value on the 9th day-2*D value on the 9th day

If there is no K value and D value on the previous day, You can use 50 instead.

本文来源: 网络 文章作者: 网络投稿
    下一篇

A. 比特币矿池推荐哪个好这是近三个月来矿池份额:B. 蚂蚁矿池打一个莱特币给多少个狗狗币C. 国内eth十大矿池排名1、 以太坊它是全球领先的比特币数据服务提供商和矿池和钱包解决方案提供商。从201