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Burak Baltaci  

Hello everyone.

Thank you for your interest in XAU Flux.

Here is some information about the input parameters and user guide.

# XAU FLUX - Parameter Guide

## Input Parameters Explained

### 1. **Step** (Default: 25 pips)
**What it does:**
- Controls the distance between pending orders (BuyStop/SellStop)
- Sets how far from current price new orders will be placed

**How to use:**
- **Lower values (15-20):** More frequent entries, aggressive trading
- **Higher values (30-50):** Fewer entries, quality setups only
- **M5 recommendation:** 18-35 pips depending on strategy
- **Tip:** Adjust based on Gold's daily ATR (Average True Range)

---

### 2. **Acceleration** (Default: 9 seconds)
**What it does:**
- Time-based filter for deleting old pending orders
- Controls how long pending orders stay active before cancellation

**How to use:**
- **Lower values (5-8):** Fast rotation, dynamic positioning
- **Higher values (10-15):** Patient approach, longer order validity
- **M5 recommendation:** 6-12 seconds
- **Tip:** Match this with your timeframe (1 bar = ~5 seconds on M5)

---

### 3. **TrailingStop** (Default: 25 pips)
**What it does:**
- Automatically moves stop loss as profit increases
- Protects profits while letting winning trades run

**How to use:**
- **Tight trailing (15-25):** Quick profit taking, scalping style
- **Wide trailing (35-50):** Let profits run, trend-following style
- **M5 recommendation:** 20-40 pips
- **Tip:** Set wider during high volatility sessions (London/NY overlap)

---

### 4. **StopLoss** (Default: 530 pips)
**What it does:**
- Maximum risk per trade (used in equity/balance ratio calculations)
- Acts as safety net against large drawdowns

**How to use:**
- **Tight stop (300-450):** Lower risk, frequent exits
- **Wide stop (550-700):** Absorbs volatility, fewer stop-outs
- **M5 recommendation:** 420-650 pips
- **Tip:** Gold can move 50-100 pips in minutes, plan accordingly

---

### 5. **Lots** (Default: 0.2)
**What it does:**
- Trade volume per order
- Directly controls risk and potential profit

**How to use:**
- **Conservative (0.1-0.15):** ~1-2% risk per trade
- **Moderate (0.2-0.25):** ~2-3% risk per trade
- **Aggressive (0.3-0.5):** ~3-5% risk per trade
- **M5 recommendation:** 
  - $5,000 account → 0.15 lot (balanced) or 0.35 lot (aggressive)
  - $10,000 account → 0.3 lot (balanced) or 0.7 lot (aggressive)
- **Tip:** Never risk more than 5% of account balance per trade

---

### 6. **Max_Spread** (Default: 20 pips)
**What it does:**
- Maximum allowed spread before EA stops trading
- Protects against poor execution during high spread periods

**How to use:**
- **Tight control (12-18):** Only trade during best conditions
- **Relaxed control (20-30):** More trading opportunities
- **M5 recommendation:** 18-25 pips
- **Tip:** Gold spread typically 5-15 pips; avoid trading during news if >20

---

### 7. **Magic** (Default: 8084)
**What it does:**
- Unique identifier for EA's orders
- Separates this EA's trades from other EAs or manual trades

**How to use:**
- **Keep default (8084)** unless running multiple instances
- **Change to unique number** if testing different settings simultaneously
- **Example:** 8085 for aggressive, 8086 for conservative
- **Tip:** Don't change randomly - use it for tracking different strategies

---

## Quick Setup Guide

### For Beginners (Conservative):
```
Step = 35
Acceleration = 12
TrailingStop = 40
StopLoss = 650
Lots = 0.1
Max_Spread = 18
```
**Expected:** 5-15 trades/day, lower risk, steady growth

### For Experienced (Aggressive):
```
Step = 18
Acceleration = 6
TrailingStop = 20
StopLoss = 420
Lots = 0.1
Max_Spread = 25
```
**Expected:** 20-50 trades/day, higher risk, faster results

---

## Important Notes:

 **Risk Management:**
- Always use proper lot sizing based on account balance
- Monitor drawdown daily
- Don't trade during major news events (NFP, FOMC, etc.)

 **Best Trading Sessions for Gold:**
- London Open: 08:00-11:00 GMT
- New York Open: 13:00-16:00 GMT
- London-NY Overlap: 13:00-16:00 GMT (highest volatility)

 **Optimization Tips:**
1. Backtest on M5 with at least 3 months of data
2. Forward test on demo account for 2 weeks
3. Start with minimum lots on live account
4. Adjust parameters based on market conditions
5. Review performance weekly

---

## Parameter Interaction:

**Step + Acceleration = Entry Management**
- Small Step + Fast Acceleration = Rapid fire entries
- Large Step + Slow Acceleration = Patient, quality entries

**TrailingStop + StopLoss = Risk Management**
- Tight Trailing + Tight Stop = Scalping mode
- Wide Trailing + Wide Stop = Swing trading mode

**Lots + Max_Spread = Execution Quality**
- High Lots + Tight Spread = Premium execution only
- Low Lots + Wide Spread = More opportunities

---

**Remember:** No parameter set works perfectly in all market conditions. 
Adapt to volatility, news, and session characteristics!

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