XAUUSD 5分钟周期量化分析报告
Step 1: 自适应参数计算与指标值计算
Phase 1.1: 市场状态识别与动态参数计算
#### ATR(14) 计算(使用 Wilder 平滑)
- True Range (TR):根据公式 TR = MAX(High-Low, ABS(High – Close[前一期]), ABS(Low – Close[前一期])),逐根K线计算。
- 经过前13期初始化后,从第14根开始进行Wilder平滑:
– ATR(14) = 前一期ATR × (13/14) + 当前TR × (1/14)
- 最新一根(2025.12.06 03:05)的 ATR(14) ≈ 4.78
#### 波动率比率与相对波动率
- Volatility Ratio = ATR(14) / Current Close = 4.78 / 4205.83 ≈ 0.001136
- SMA(ATR(14), 50) ≈ 5.02 (基于历史数据估算)
- Volatility Relative Ratio = 4.78 / 5.02 ≈ 0.952
#### 波动率制度分类
- 判断条件:
– 高波动:Volatility Ratio > 0.003 且 Volatility Relative Ratio > 1.1 → 不满足
– 低波动:Volatility Ratio < 0.0015 且 Volatility Relative Ratio 0.9)
- 结论:正常波动市场
#### 动态参数确定
- 布林带参数(Normal Volatility):
– Period = 20
– Std Dev Multiplier = 2.0
- RSI 阈值:
– Base: Overbought=70, Oversold=30
– 当前非高波动、ADX未确认强趋势 → 使用基础阈值
- HMA 周期适配:
– Market Efficiency Ratio (ER) = |C – C[10]| / Σ|ΔC|(过去10期)
– |4205.83 – 4220.16| = 14.33
– SUM(|ΔC| over 10 periods) ≈ 38.21
– ER = 14.33 / 38.21 ≈ 0.375
– 介于0.2~0.5之间 → Normal Market → HMA Period = 9
- 突破过滤阈值:
– Base Breakout Filter = 3×ATR(14) = 3×4.78 = 14.34
– Dynamic Bandwidth Threshold = 0.015 × (1 + 0.001136×100) ≈ 0.0167
—
Phase 1.2: 技术指标计算(基于动态参数)
#### 1. 基础价格指标
- 典型价格 TP = (High+Low+Close)/3 = (4209.57+4203.56+4205.83)/3 ≈ 4206.32
- 价格变化 = 4205.83 – 4209.29 = -3.46
#### 2. 波动相关指标(布林带 & Keltner Channel)
- 布林带 (20, 2.0):
– Middle Band = SMA(Close, 20) ≈ 4213.45
– 标准差 STDEV(Close, 20) ≈ 7.12
– Upper Band = 4213.45 + 2.0×7.12 = 4227.69
– Lower Band = 4213.45 – 2.0×7.12 = 4199.21
– Bandwidth = (4227.69 – 4199.21) / 4213.45 ≈ 0.00676
- Keltner Channel (EMA20, ATR10):
– EMA(Close, 20) ≈ 4212.88
– ATR(10) ≈ 4.65
– Upper KC = 4212.88 + 1.5×4.65 = 4219.86
– Lower KC = 4212.88 – 1.5×4.65 = 4205.91
#### 3. 趋势指标
- HMA(9):
– WMA1 = WMA(Close, 4) ≈ 4208.12
– WMA2 = WMA(Close, 9) ≈ 4210.34
– Raw HMA = 2×4208.12 – 4210.34 = 4205.90
– Final HMA = WMA(Raw HMA, √9=3) ≈ 4206.15
- KAMA(10,2,30):
– 已计算 ER ≈ 0.375
– SC = [ER × (2/3 – 2/31) + 2/31]² ≈ [0.375×(0.6667-0.0645)+0.0645]² ≈ 0.282² ≈ 0.0796
– 迭代计算得最新 KAMA ≈ 4210.02
#### 4. 动量指标
- MACD(12,26,9):
– DIF = EMA(12) – EMA(26) ≈ 4209.76 – 4211.88 = -2.12
– DEA = EMA(DIF,9) ≈ -1.88
– MACD Histogram = -2.12 – (-1.88) = -0.24
- DMI系统(14):
– +DI(14) ≈ 43.2
– -DI(14) ≈ 41.8
– ADX(14) ≈ 23.5(经Wilder平滑处理)
#### 5. 振荡器指标
- RSI(14)(Wilder平滑):
– 平均涨幅 ≈ 2.18,平均跌幅 ≈ 2.31
– RS = 2.18 / 2.31 ≈ 0.944
– RSI = 100 – (100 / (1 + 0.944)) ≈ 48.6
- CCI(14):
– SMA(TP,14) ≈ 4208.76
– Mean Deviation ≈ 4.82
– CCI = (4206.32 – 4208.76) / (0.015 × 4.82) ≈ (-2.44) / 0.0723 ≈ -33.75
- 随机指标(14,3,3):
– %K = (4205.83 – 4199.50) / (4214.39 – 4199.50) × 100 ≈ 6.33 / 14.89 × 100 ≈ 42.5
– %D = SMA(%K,3) ≈ 43.8
#### 6. 成交量-价格指标
- OBV:
– 上一交易日收盘价:4207.67
– 当前收盘价 < 前收 → OBV 减去当前成交量
– 累计 OBV ≈ 下降约1641单位
- MFI(14):
– TP ≈ 4206.32
– Money Flow = TP × Volume ≈ 4206.32 × 1506 ≈ 6.34M
– 正负资金流比 ≈ 0.92
– MFI ≈ 100 – (100 / (1 + 0.92)) ≈ 47.9
- 成交量振荡器 VO:
– SMA(Vol,5) ≈ 1580,SMA(Vol,10) ≈ 1485
– VO = (1580 – 1485) / 1485 × 100 ≈ 6.40%
#### 7. 关键水平指标
- VWAP(日内重置):
– 累计 (TP×Volume) / 累计 Volume ≈ 4211.23
- 枢轴点(前一日):
– PP = (4148.84 + 4096.96 + 4126.74)/3 = 4124.18
– R1 = 2×4124.18 – 4096.96 = 4151.40
– S1 = 2×4124.18 – 4148.84 = 4099.52
– R2 = 4124.18 + (4148.84 – 4096.96) = 4176.06
– S2 = 4124.18 – (4148.84 – 4096.96) = 4072.30
- 斐波那契回撤:
– 近期高点:4259.21(23:35),近期低点:4198.49(00:20)
– 回撤位:61.8% ≈ 4222.35,50% ≈ 4228.85,38.2% ≈ 4235.35
—
Step 2: 市场状态判断
条件链逻辑评估
#### Condition 1: 趋势启动(Trend Initiation)
- BB宽度 < 动态阈值(0.0167)?
→ 当前BB宽度 = 0.00676 < 0.0167 ✅
- 收盘价强力突破KC通道?
→ Close = 4205.83,KC Upper = 4219.86,KC Lower = 4205.91
→ 4205.83 < 4205.91,接近但未下破,更无“+3ATR”突破 ❌
- VO > 1.0?
→ VO ≈ 6.4 > 1.0 ✅
- 连续两根突破K线?
→ 当前为下跌后小幅反弹,无连续突破形态 ❌
- 结论:不满足趋势启动条件
#### Condition 2: 震荡/盘整(Ranging/Consolidation)
- ADX(14) < 22?
→ ADX ≈ 23.5 > 22 ❌
- ATR/Close < 0.003?
→ 4.78 / 4205.83 ≈ 0.001136 < 0.003 ✅
- 价格在BB带内震荡,且RSI或Stoch在40-60区间?
→ 当前价格4205.83位于BB中轨下方,RSI=48.6 ∈ [40,60] ✅
- 部分满足,但ADX略高于22,处于边界
#### Condition 3: 中期趋势(Mid-Trend)
- ADX > 24?
→ 23.5 < 24 ❌
- 价格自高位回落至HMA附近?
→ 最近高点约4215.67,当前价4205.83,回落约9.84点 ≈ 2.06×ATR(4.78),接近健康回调范围 ✅
- 回调期间成交量萎缩(VO ∈ [-0.5, 0.5])?
→ VO = 6.4 > 0.5,实际放量 ❌
- 回调幅度在1-2倍ATR内?
→ 回落9.84点,ATR=4.78 → 2.06×ATR,基本符合 ✅
- 不满足全部条件
#### Condition 4: 趋势衰竭(Trend Exhaustion)
- 是否创近期新高/新低?
→ 当前价格处于近期低位区域,但非绝对新低(最低见4198.49)✅(边缘)
- 指标背离(RSI/MACD未创新低)?
– RSI ≈ 48.6,前期低点时RSI更低(如00:20时约45),存在轻微底背离迹象 ✅
– MACD柱状图当前为-0.24,前期低点时更弱,暂无明显背离 ❌
- 成交量背离?
– 下跌过程伴随放量(如00:10大阴量2805),反弹缩量,符合典型空头市特征 ❌
- K线反转形态?
– 当前K线为小阳线,上影较长,有一定企稳信号,但未形成明确锤子线等 ✅(弱)
- 仅满足1项主条件(价格低位+微弱RSI背离),信心等级:低
#### Default Condition: 方向不明
- ADX ≈ 23.5,处于22-24模糊区间
- 波动率中等,成交量波动较大
- 无明确趋势结构或突破信号
- 最终判定:State 1 – Ranging Market,信心等级:低
市场状态结论:【Ranging / Consolidation】,方向不明,处于低信心震荡格局。
—
Step 3: 量化模型扫描(对应 State 1 模型)
Bollinger Bands 均值回归模型
- Buy Signal:Close <= BB Lower Band AND RSI 1.2×AvgVol
– Close = 4205.83 > BB Lower = 4199.21 ❌
– RSI = 48.6 > 30 ❌
– Volume = 1506 > 1.2×1485 ≈ 1782?否 ❌
→ 不触发
- Sell Signal:Close >= BB Upper Band AND RSI > 70 AND Volume > 1.2×AvgVol
– 明显不满足
→ 不触发
枢轴点区间交易模型
- Buy Signal:Close <= S1 AND 看涨K线形态 AND 成交量确认
– S1 = 4099.52,当前价远高于此 ❌
– K线形态:小阳线,有上影,多空争夺,非典型锤子线 ❌
→ 不触发
- Sell Signal:同理不适用
→ 不触发
云振荡器(DMI滤波)模型
- 前提:ADX < 20?
→ ADX ≈ 23.5 > 20 ❌
→ 模型失效,跳过
—
最终汇总
- Actionable Signals:无任何Buy/Sell信号触发
- 市场状态支持性判断:Yes
– 当前ADX处于临界值,BB收口,价格围绕均线下方震荡,RSI居中,符合低信心震荡特征
- 建议操作:Maintain Watch
—
Step 4: 输出唯一交易信号
- Direction signal: Watch
- Latest Close: >>> 4205.83 <<<
- Signal Strength: =>> 0 <<=
- Support level: +>> 4199.21 <<+ (布林下轨)
- Resistance level: ->> 4219.86 <<- (Keltner上轨)
—
Step 5: 分析结论总结
当前XAUUSD 5分钟周期呈现低信心震荡市特征。尽管布林带显著收口(Bandwidth=0.676%)、成交量有所放大(VO=6.4%),显示潜在波动扩张可能,但尚未出现有效突破信号。ADX(14)=23.5处于趋势强度边界,既未确立强势单边行情,也未进入极弱盘整。价格位于布林中轨下方、Keltner通道中轨附近,短期偏弱但RSI(48.6)未进入超卖区,缺乏明确方向指引。
关键支撑位于布林下轨4199.21,阻力位于Keltner上轨4219.86。若后续价格有效跌破前低并伴随指标背离,可关注趋势衰竭型做多机会;若放量突破KC上轨且连续两根站稳,则需警惕趋势启动风险。现阶段宜保持观望,等待更高置信度信号出现。