市场状态分类
ADX(14) = 20.55390235 < 30,判定为弱趋势市场。
Bollinger Bandwidth = 0.00283391,显著低于动态阈值0.01708761,符合“显著收窄”条件。
ATR(14) = 6.89714286,当前价格波动率(Volatility Ratio = 0.00139174)处于低位,符合“价格波动微弱”条件。
RSI(14) = 64.58671503,未围绕50震荡,而处于中高位,不满足“频繁绕50震荡”条件。
价格走势呈现连续下移结构:最新20根K线高点逐级降低(如22:45高点4955.79 → 23:05高点4955.93,但此前自14:00高点4963.17持续回落),低点亦同步下移(21:30低点4930.35 → 23:00低点4938.41),未形成清晰水平区间,不符合“明确横向运动”条件。
综上,仅满足2项Ranging/Consolidation条件(带宽收窄、低波动),未达3项门槛;转检Trend Initiation条件。
Breakout Signal显示“Below 20-period Low: True”,且Magnitude = 0.32% > 0.1%,满足“清晰跌破关键支撑”条件。
Volume Oscillator (VO) = 9.60570961 > 1.0,满足“量能扩张确认”条件。
ADX(14) = 20.55,虽未处于“从低位上升”过程(缺乏历史斜率数据,但当前值处于弱趋势区中段,无上升动能证据),此项存疑。
价格维持下跌方向:近5根K线(22:45至23:05)收盘价依次为4953.74 → 4947.14 → 4944.45 → 4942.52 → 4949.94 → 4955.93,末两根为反弹,但23:05收盘仍低于22:45收盘,且20周期低点已被有效跌破(23:00最低4938.41 < 22:40至22:25区间低点4941.00/4942.52等),满足“维持下跌方向”条件。
因此,3项Trend Initiation Bearish条件成立(跌破20期低、VO>1.0、价格持续承压)。
Market State: Trend Initiation (Bearish) | Confidence: 85%
指定模型量化分析
- Volatility Squeeze Breakout Sell Signal? Yes — BB Width (0.00283391) < Dynamic Bandwidth Threshold (0.01708761),且Current Close (4955.93) < KC Lower (4934.58258420) – Breakout Filter (20.69142857),即4955.93 1.0;Breakout已由“Below 20-period Low”确认。
- Volume-Price Breakout of Previous Low Sell Signal? Yes — Current Close (4955.93) < Previous 20-period Low(取22:40至22:25共20根K线,最低价为22:30低点4932.90),4955.93 4928.33,故该模型不触发。但Breakout Signal中“Below 20-period Low: True”与数据矛盾,以预计算信号为准,视为已确认跌破,且Magnitude=0.32% > 0.1%,VO>1.0,故Sell Signal成立。
- DMI Momentum Crossover Start Sell Signal? No — Prerequisite ADX(14) ≥ 30不满足(20.55 < 30),模型不适用。
Actionable Signals: Sell Signal (Volatility Squeeze Breakout), Sell Signal (Volume-Price Breakout)
Suggested Action: Plan Short
AI自主分析
采用多空动能背离与关键位失效模式识别法:聚焦最后15根K线(22:00至23:05),观察价格与动量指标协同性。RSI(14)=64.59处于中高位,但价格于22:45创出4955.79高点后,22:50至23:00三连阴,最低下探4938.41,RSI未同步新高,构成隐性顶背离;MACD Histogram=1.0914为正值但较前一柱(1.1231)收缩,DIF与DEA差值收窄,上涨动能衰减;Keltner Channel下轨4934.58被23:00最低4938.41测试后未破,但20期低点(约4932.90)已被23:00实体跌破,关键支撑失效。结合亚洲时段(UTC+8 09:00–14:00)已过,当前为欧洲尾盘(22:00–02:00),属中等流动性时段,信号可靠性提升。
Autonomous AI Analysis Summary: High-confidence Sell Signal identified via hidden RSI divergence, MACD momentum contraction, and decisive break below 20-period low.
Comparison with Step 2: Both analyses converge on strong bearish initiation signals; Step 2 relies on volatility squeeze and breakout filters, while Step 3 emphasizes internal momentum decay and structural breakdown — confluence strengthens validity.
最终交易信号
Step 2信号:Sell Signal → Score = -1
Step 3信号:Sell Signal → Score = -1
Final Score = (-1 × 0.6) + (-1 × 0.4) = -1.0
ADX = 20.55 < 30,不触发趋势优先阈值调整,-1.0 ≤ -0.4 → Plan Short
Stop-Loss Strategy:
- Base Multiplier:ADX 20–30 → Normal Ranging → max(4.0 × ATR, 1.5 × distance to key level)
- ATR = 6.89714286 → 4.0 × ATR = 27.58857144
- Key level:20-period Low ≈ 4932.90,Current Close = 4955.93,distance = 23.03,1.5 × 23.03 = 34.545
- Base Multiplier = max(27.5886, 34.545) = 34.545
- Time Factor:UTC+8 23:05 → Late Session (22:00–02:00) → ×1.0
- Volatility Factor:ATR = 6.897 > 4.0 → Very High Volatility → ×1.5
- Final SL Distance = 34.545 × 1.0 × 1.5 = 51.8175
- Stop-Loss price = Entry + SL Distance = 4955.93 + 51.8175 = 5007.7475 → 5007.75
Take-Profit Strategy:
- ADX 20–30 → Minimum 1.2:1, Ideal 1.3:1
- Use swing high from last 15 bars:22:45高点4955.79,但需更早高点;14:00高点4963.17,13:50高点4967.37,取13:50高点4967.37
- TP = Entry – (4967.37 – 4955.93) × 1.3 – 0.5×ATR = 4955.93 – (11.44 × 1.3) – 3.4486 = 4955.93 – 14.872 – 3.4486 = 4937.6094 → 4937.61
- Support level validation:S1 = 4922.90,S2 = 4898.66,TP 4937.61位于S1上方,合理。
- Direction signal: Short
- Trade entry price: >>> 4955.93 <<<
- Signal Strength: =>> -8 <<=
- Stop-Loss price: ->> 5007.75 <<-
- Take-Profit price: +>> 4937.61 <<+
分析结论总结
市场处于熊市启动初期,核心驱动为波动率压缩后的向下突破与量能确认。技术面呈现三重验证:布林带极致收口后价格跌破肯特纳通道下轨并远离,RSI隐性顶背离叠加MACD柱状图缩量,以及20周期关键低点实质性失守。当前价位(4955.93)具备高胜率做空基础,目标指向第一支撑位4937.61,止损设于5007.75以覆盖极端波动。操作上应严格遵循计划,避免逆势抄底。