五维框架: 参与意愿·赚钱效应·资金状态·恐慌程度·研究活跃度 | 严格对齐方法论
| 参与意愿 | 53.1 | 25% | 成交额+换手率+涨停封板率 | 成交活跃→参与热情上升 |
| 赚钱效应 | 34.7 | 25% | 涨跌比+涨停跌停比+MA20占比+周涨跌 | 赚钱效应好→资金留存 |
| 资金状态 | 50.0 | 25% | 融资偏离+ETF5日 | 杠杆入场→资金看多 |
| 恐慌程度 | 44.2 | 25% | 波动率反转+20日涨跌幅 | 波动稳定→市场平稳 |
| 研究活跃度 | 7.1 ←恐慌 | 25% | 成交额偏离趋势(代理) | 成交冷清→注意力撤退 |
| 情绪阶段 | MSI区间 | 天数 | T+1 | T+5 | T+7 | T+10 | T+14 | T+30 |
|---|---|---|---|---|---|---|---|---|
| 过度恐慌 | 0~30 | 68 | 61.8% | 58.8% | 55.9% | 63.2% | 63.2% | 63.2% |
| 恐慌 | 30~40 | 556 | 54.5% | 60.5% | 61.1% | 60.0% | 61.5% | 59.7% |
| 中性 | 40~60 | 1793 | 50.8% | 50.6% | 50.7% | 52.3% | 50.1% | 48.4% |
| 贪婪 | 60~80 | 148 | 60.1% | 50.7% | 52.0% | 50.7% | 42.6% | 49.3% |
| 极度贪婪 | 80~101 | 7 | 57.1% | 57.1% | 42.9% | 28.6% | 28.6% | 71.4% |
当前上证综指处于中性阶段。D1=53.1/D2=34.7/D3=50.0/D4=44.2/D5=7.1。恐慌是逆向指标,本仪表盘不构成投资建议。
| 指数 | 区间 | T+1 | T+5 | T+7 | T+10 | T+14 | T+30 | T+30均益 |
|---|---|---|---|---|---|---|---|---|
| 上证综指 | 过度恐慌 | 61.8% | 58.8% | 55.9% | 63.2% | 63.2% | 63.2% | |
| 恐慌 | 55.3% | 60.3% | 60.5% | 60.3% | 61.7% | 60.1% | ||
| 非恐慌 | 51.5% | 50.6% | 50.8% | 52.1% | 49.4% | 48.6% | ||
| 沪深300 | 过度恐慌 | 57.7% | 63.9% | 63.9% | 67.0% | 67.0% | 68.0% | |
| 恐慌 | 52.5% | 55.0% | 54.7% | 52.9% | 54.2% | 53.6% | ||
| 非恐慌 | 50.0% | 50.8% | 50.4% | 52.0% | 51.1% | 51.1% | ||
| 中证500 | 过度恐慌 | 55.3% | 62.4% | 66.7% | 60.7% | 66.3% | 71.1% | |
| 恐慌 | 53.9% | 57.1% | 57.0% | 53.9% | 55.6% | 56.6% | ||
| 非恐慌 | 51.5% | 51.3% | 52.1% | 51.3% | 50.3% | 48.2% | ||
| 中证1000 | 过度恐慌 | 55.0% | 65.1% | 68.2% | 65.7% | 68.3% | 72.0% | |
| 恐慌 | 53.1% | 53.8% | 54.1% | 52.6% | 53.6% | 56.3% | ||
| 非恐慌 | 53.6% | 51.6% | 51.1% | 49.9% | 48.4% | 41.6% | ||
| 参考目标 | 55% | 62% | 70% | 65% | 58% | 58% | ||