마켓 / MetaTrader 5 / Experts / Adaptive AI FREE 게시됨: 3 11월 2025 현재 버전: 6.1 적합한 로봇을 찾지 못하셨나요? 프리랜스에서 나만의 로봇을 주문해 보세요 프리랜스로 이동 트레이딩 로봇 또는 지표 구매 구입 방법 EA를 작동시켜보세요 가상 호스팅으로 구매 전에 지표와 트레이딩 로봇을 테스트해보세요 마켓에서 수익 창출을 원하십니까? 제품의 판매량을 나타내는 방법 미리보기 리뷰 (1) 코멘트 (9) 새 소식 제품을 구매하거나 렌트한 사용자만 코멘트를 남길 수 있습니다 Angel Larroca 2025.11.09 14:42 #1 ¿Y el archivo .set? Henri Joel Biock-soares 2025.11.09 15:17 #2 Angel Larroca #: ¿Y el archivo .set? LotSize Value: 0.1 Explanation: Initial lot size for each trade Advice: For FTMO 100k$ account, use 0.1 - 0.2 lot. Smaller = less risk. MagicNumber Value: 123456 Explanation: Unique number that identifies this EA's trades (allows multiple EAs on same account) Advice: Change only if using multiple different EAs on the same account. FractalShift Value: 2 Explanation: Number of candles to detect a fractal (reversal signal) Advice: Do not modify (Bill Williams standard value). MaxConsecutiveLosses Value: 10 Explanation: Maximum number of consecutive losses before EA automatically stops Advice: Anti-catastrophe safety. 10 is reasonable for FTMO. 2. Martingale (Progressive Lot Management) EnableMartingale Value: true Explanation: Enables martingale strategy (increases lot after loss to recover) Advice: DISABLE (false) for strict FTMO challenges. Enable (true) for personal accounts. MartingaleMultiplier Value: 2.0 Explanation: How much to multiply lot after a loss (2.0 = double the lot) Advice: 1.5 - 2.0 is reasonable. Higher = more risk. MaxLotMultiplier Value: 8.0 Explanation: Maximum lot multiplication limit (8x = maximum 3 consecutive losses) Advice: Do not exceed 8.0 for FTMO. Protects against explosive losses. ResetLotAfterWin Value: true Explanation: Resets lot to base value after a win Advice: ALWAYS true (security). MaxMartingaleSteps Value: 5 Explanation: Maximum number of martingale steps allowed Advice: 3-5 for FTMO, 5-7 for personal accounts. 3. Debug Messages DebugMessages Value: true Explanation: Displays detailed messages in MT5 logs (entries, exits, neurons, etc.) Advice: true during testing, false in production to reduce noise. 4. Multi-Trades (Simultaneous Trades) EnableMultiTrades Value: true Explanation: Allows opening multiple trades simultaneously Advice: true to diversify risk, false for conservative mode. MaxSimultaneousTrades Value: 3 Explanation: Maximum number of trades open at the same time Advice: 2-3 for FTMO, 3-5 for aggressive accounts. MinMinutesBetweenTrades Value: 15 Explanation: Minimum time between two trades (prevents overtrading) Advice: 15 min = maximum 4 trades per hour. Increase to 30 min for conservative mode. MaxTotalExposure Value: 0.3 (30%) Explanation: Maximum percentage of account exposed simultaneously Advice: 0.2-0.3 (20-30%) for FTMO, never exceed 0.5 (50%). 5. Neural Network (AI Core) NN_HiddenNeurons Value: 8 Explanation: Number of hidden neurons in the network (4 specialized + 4 adaptive) Advice: DO NOT MODIFY. Optimized for EUR/USD. NN_LearningRate Value: 0.001 Explanation: Neural network learning speed Advice: 0.0005 - 0.002. Lower = slow but stable learning. NN_UseBackpropagation Value: true Explanation: Enables automatic learning after each trade Advice: ALWAYS true (otherwise robot doesn't learn). NN_SpecializedNeurons Value: 4 Explanation: Number of specialized neurons (Scalping, Swing, Momentum, Volatility) Advice: DO NOT MODIFY. Fixed architecture. 6. Adam Optimizer (Accelerated Learning) UseAdamOptimizer Value: true Explanation: Uses Adam algorithm for 2x faster learning Advice: ALWAYS true (superior to classic SGD). Adam_Beta1 Value: 0.9 Explanation: Adam momentum parameter (smooths variations) Advice: Standard value, do not modify unless advanced testing. Adam_Beta2 Value: 0.999 Explanation: Adam RMSprop parameter (learning rate adaptation) Advice: Standard value, do not modify. Adam_Epsilon Value: 0.00000001 (1e-8) Explanation: Prevents division by zero in calculations Advice: Never modify. 7. L2 Regularization (Anti-Overfitting) UseL2Regularization Value: true Explanation: Reduces overfitting by 40% (avoids being too adapted to historical data) Advice: ALWAYS true. L2_Lambda Value: 0.001 Explanation: Regularization strength Advice: 0.0005 - 0.002. Do not modify unless comparative backtests. 8. Attention Mechanism (Intelligent Focus) UseAttentionMechanism Value: true Explanation: Allows network to dynamically focus on most important indicators Advice: ALWAYS true (improves accuracy by 15-25%). 9. Drawdown Protection (Loss Protection) MaxDrawdownPercent Value: 50.0% Explanation: Maximum allowed loss as percentage of capital before automatic stop Advice: FTMO Challenge = 10%, FTMO Verification = 5%, Personal accounts = 20-50%. MaxDrawdownMoney Value: 5000 USD Explanation: Maximum allowed loss in dollars before stop Advice: FTMO 100k = 10000 USD (10%), FTMO 200k = 20000 USD (10%). EnableDrawdownProtection Value: true Explanation: Enables automatic closure if drawdown exceeds limits Advice: ALWAYS true (critical safety for FTMO). 10. Multi-Timeframe Filter (Multi-Period Filter) EnableMultiTimeframeFilter Value: true Explanation: Verifies multiple timeframes are aligned before trading Advice: true = more conservative, false = more aggressive. MTF_Higher1 Value: M15 (15 minutes) Explanation: First higher timeframe to verify Advice: M15 or H1 depending on your style. MTF_Higher2 Value: H1 (1 hour) Explanation: Second higher timeframe (background trend) Advice: H1 or H4 to confirm main trend. MTF_MaPeriod Value: 50 Explanation: Moving average period used for multi-timeframe filter Advice: 50 = standard, 100 = slower but more reliable. MTF_MinAlignment Value: 0.6 (60%) Explanation: Minimum alignment percentage required between timeframes Advice: 0.5-0.7. Higher = fewer trades but more accurate. 11. Moving Average MaPeriod Value: 30 Explanation: Number of candles to calculate main moving average Advice: 20-50 for active trading, 100-200 for long term trading. MaTimeframe Value: M5 (5 minutes) Explanation: Time period for moving average Advice: M5 for scalping, M15 for day trading. MaMethod Value: SMA (Simple) Explanation: Moving average type (Simple, Exponential, Smoothed, Linear) Advice: SMA = standard, EMA = more reactive. MaPrice Value: CLOSE (closing price) Explanation: Price used to calculate average Advice: CLOSE = standard (others: OPEN, HIGH, LOW, MEDIAN, TYPICAL, WEIGHTED). 12. Trading Hours TradingStartHour Value: 7 Explanation: Trading start time (24h format) Advice: 7am = European session, 2pm = American session. TradingEndHour Value: 21 Explanation: Trading end time Advice: 9pm covers London + New York. Avoid 10pm-7am (low liquidity). GMTOffset Value: 0 Explanation: Your broker's time offset from GMT Advice: Check your broker's timezone (GMT+2, GMT+3, etc.). AutoClosePositionsEndSession Value: true Explanation: Automatically closes all positions at end time Advice: true to avoid unsupervised overnight positions. 13. Regime Detection (Trend/Range Detection) RegimeTF Value: M5 Explanation: Period used to detect market regime (trend or range) Advice: M5 or M15 for reactive detection. RegFastMA Value: 10 Explanation: Fast moving average period for regime detection Advice: 10-20 for sensitive detection. RegSlowMA Value: 40 Explanation: Slow moving average period Advice: 30-50, must be 3-4x larger than RegFastMA. RegATR Value: 14 Explanation: ATR (Average True Range) period to measure volatility Advice: 14 = standard, do not modify. RegADX Value: 14 Explanation: ADX (Average Directional Index) period for trend strength Advice: 14 = standard. TrendThresh Value: 0.25 Explanation: Threshold to consider trending (|score| > 0.25 = trend, else range) Advice: 0.2-0.3. Lower = detects trends earlier. VolStop Value: 0.75 Explanation: Volatility threshold to stop trading (market too agitated) Advice: 0.7-0.9. Lower = more conservative in volatility. 14. Advanced AI (Multi-Objective Optimization) AI_MemorySize Value: 150 Explanation: Number of trades memorized for learning Advice: 100-200. More = learning on more history. AI_RiskRewardWeight Value: 0.4 (40%) Explanation: Importance of risk/reward ratio in decisions Advice: Sum of all weights must = 1.0. AI_SharpeWeight Value: 0.3 (30%) Explanation: Importance of Sharpe ratio (risk-adjusted return) Advice: Higher = favors regularity of gains. AI_DrawdownWeight Value: 0.2 (20%) Explanation: Importance of minimizing losses Advice: Increase for conservative FTMO mode. AI_WinRateWeight Value: 0.1 (10%) Explanation: Importance of win rate Advice: Less important than risk/reward. AI_MultiTimeframeLearning Value: true Explanation: Learns on multiple timeframes simultaneously Advice: ALWAYS true (more complete market vision). 15. Dynamic TP/SL Calculation (Take Profit and Stop Loss) UseDynamicStopLoss Value: true Explanation: Automatically calculates Stop Loss based on market volatility Advice: true = adaptive, false = uses fixed values. UseDynamicTakeProfit Value: true Explanation: Automatically calculates Take Profit Advice: true for automatic adaptation. DefaultStopLossPips Value: 60 pips Explanation: Fixed SL if dynamic mode disabled Advice: 40-80 pips for EUR/USD M15. DefaultTakeProfitPips Value: 120 pips Explanation: Fixed TP if dynamic mode disabled Advice: 1:2 ratio recommended (TP = 2x SL). MinStopLossPips Value: 30 pips Explanation: Minimum allowed SL (protection against too small SL) Advice: 20-40 pips depending on EUR/USD volatility. MaxStopLossPips Value: 150 pips Explanation: Maximum allowed SL Advice: 100-200 pips. Larger = more capital at risk. MinTakeProfitPips Value: 40 pips Explanation: Minimum TP Advice: Must be > MinStopLossPips for favorable ratio. MaxTakeProfitPips Value: 300 pips Explanation: Maximum TP Advice: 200-400 pips depending on trading style. ATR_Period_TPSL Value: 14 Explanation: ATR period used to calculate dynamic TP/SL Advice: 14 = standard. ATR_Multiplier_SL Value: 1.5 Explanation: ATR multiplier for Stop Loss (SL = ATR x 1.5) Advice: 1.0-2.0. Higher = wider SL. ATR_Multiplier_TP Value: 3.0 Explanation: ATR multiplier for Take Profit (TP = ATR x 3.0) Advice: 2.0-4.0. Must be 2x ATR_Multiplier_SL minimum. 16. Trading Days TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday Value: true Explanation: Enable/disable trading for each day of week Advice: Disable Friday after 3pm (widened spreads) and Monday morning (volatility). TradeSaturday, TradeSunday Value: false Explanation: Weekend trading (market closed for Forex) Advice: ALWAYS false for Forex. 17. Daily Reset ResetLotDaily Value: true Explanation: Resets lot to base value each day at midnight Advice: true for controlled martingale. ResetDrawdownDaily Value: false Explanation: Resets drawdown counter each day Advice: FALSE for FTMO (cumulative drawdown over entire period). 18. Intelligent Neural TP/SL UseNeuralTPSL Value: true Explanation: Uses 8 neurons to calculate optimal TP/SL Advice: true = intelligent TP/SL, false = TP/SL based on ATR only. NeuralTPSL_Sensitivity Value: 1.0 Explanation: Neural calculation sensitivity (0.5 = conservative, 2.0 = aggressive) Advice: 0.8-1.2 for balance. NeuralTPSL_MinConfidence Value: 0.6 (60%) Explanation: Minimum confidence required to use neural TP/SL (otherwise uses ATR) Advice: 0.5-0.7. Higher = uses neurons less often. 19. Early Neural Exit UseNeuralExit Value: true Explanation: Closes position if neurons change opinion (reverse signal) Advice: true = active protection, false = keeps position until TP/SL. NeuralExit_Threshold Value: 0.30 (30%) Explanation: Neural change threshold to exit (30% = strong change) Advice: 0.2-0.4. Lower = exits more easily. NeuralExit_ProtectProfit Value: true Explanation: Exits only if in profit (keeps losing positions) Advice: true to protect acquired gains. NeuralExit_CheckInterval Value: 5 ticks Explanation: Frequency of neuron verification (every 5 ticks) Advice: 5-10. Lower = more reactive but more CPU. 20. Trailing Stop & Take Profit UseTrailingStop Value: true Explanation: Enables trailing Stop Loss (follows price in profit) Advice: true to automatically protect profits. TrailingBasedOnProfit Value: true (v6.1) Explanation: Bases trailing on percentage of current gains Advice: true = smarter than fixed distance. TrailingProfitPercent Value: 50.0% (v6.1) Explanation: Percentage of gains to protect (50% = protects half of profits) Advice: 30-70%. Higher = more conservative. TrailingStopDistance Value: 20 pips Explanation: Trailing distance if percentage mode disabled Advice: 15-30 pips for EUR/USD. TrailingStepPips Value: 5 pips Explanation: Trailing movement step (moves every 5 pips of profit) Advice: 3-10 pips. Lower = more frequent but more orders. UseTrailingTP Value: false Explanation: Enables trailing Take Profit (EXPERIMENTAL) Advice: false (experimental feature, may reduce profits). TrailingTP_DistancePips Value: 30 pips Explanation: Trailing TP distance Advice: If enabled, 20-50 pips. TrailingActivateAtProfit Value: true Explanation: Activates trailing only when in profit Advice: ALWAYS true (don't trail losses). TrailingActivatePips Value: 10 pips Explanation: Number of profit pips before activating trailing Advice: 5-15 pips. Lower = activates earlier. MinBrokerStopBufferPips Value: 2.0 pips (v6.1) Explanation: Safety buffer to avoid broker rejections (too close to market) Advice: 1-3 pips depending on your broker. Strict brokers = 3 pips. 21. Multi-Index Correlation (v6.0) UseCorrelationContext Value: true Explanation: Analyzes 8 correlated instruments to detect Risk-On/Risk-Off Advice: true = smarter decisions (+15% accuracy). CorrLookbackBars Value: 50 bars Explanation: Number of candles to calculate correlation Advice: 30-100. More = more stable correlation. CorrRecalcMinutes Value: 5 minutes Explanation: Correlation recalculation frequency (intelligent cache) Advice: 3-10 minutes. Lower = more reactive but more CPU. CorrTimeframe1, CorrTimeframe2, CorrTimeframe3 Value: M5, M15, H1 Explanation: 3 timeframes used for multi-timeframe correlation Advice: Keep M5/M15/H1 for short/medium/long term vision. 22. Correlated Instruments Selection Include_GBPUSD Value: true Explanation: Include GBP/USD (highly correlated to EUR/USD) Advice: true (important major pair). Include_USDJPY Value: true Explanation: Include USD/JPY (risk appetite indicator) Advice: true (risk-on/risk-off). Include_USDCHF Value: true Explanation: Include USD/CHF (dollar strength) Advice: true (inverse EUR/USD). Include_AUDUSD Value: true Explanation: Include AUD/USD (commodity currencies) Advice: true (market sentiment). Include_EURJPY Value: true Explanation: Include EUR/JPY (EUR strength) Advice: true (EUR correlation). Include_DXY Value: false Explanation: Include Dollar Index (DXY) Advice: false as unavailable with most brokers. true if available. Include_XAUUSD (Include_Gold) Value: true Explanation: Include Gold (safe haven in crisis) Advice: true (critical Risk-Off indicator). Include_SPX500 Value: false Explanation: Include S&P 500 (risk appetite) Advice: true if your broker offers SPX500/US500. Verify exact symbol. Include_DAX Value: false Explanation: Include DAX (European market) Advice: true if available (European correlations). 23. Contextual Filtering UseContextFiltering Value: true Explanation: Filters trades according to global market context Advice: true = fewer trades but better quality. ContextConfidenceBoost Value: 1.3 (30% boost) Explanation: Increases confidence if favorable context (Risk-On for EUR/USD) Advice: 1.2-1.5. Higher = more aggressive in favorable context. ContextConfidenceCut Value: 0.6 (40% reduction) Explanation: Reduces confidence if unfavorable context Advice: 0.5-0.7. Lower = more conservative. BlockTradesOnBadContext Value: false Explanation: Completely blocks trades if very unfavorable context Advice: false = flexible, true = ultra-conservative (may miss opportunities). Angel Larroca 2025.11.09 17:55 #3 Henri Joel Biock-soares #: LotSize Value: 0.1 Explanation: Initial lot size for each trade Advice: For FTMO 100k$ account, use 0.1 - 0.2 lot. Smaller = less risk. MagicNumber Value: 123456 Explanation: Unique number that identifies this EA's trades (allows multiple EAs on same account) Advice: Change only if using multiple different EAs on the same account. FractalShift Value: 2 Explanation: Number of candles to detect a fractal (reversal signal) Advice: Do not modify (Bill Williams standard value). MaxConsecutiveLosses Value: 10 Explanation: Maximum number of consecutive losses before EA automatically stops Advice: Anti-catastrophe safety. 10 is reasonable for FTMO. 2. Martingale (Progressive Lot Management) EnableMartingale Value: true Explanation: Enables martingale strategy (increases lot after loss to recover) Advice: DISABLE (false) for strict FTMO challenges. Enable (true) for personal accounts. MartingaleMultiplier Value: 2.0 Explanation: How much to multiply lot after a loss (2.0 = double the lot) Advice: 1.5 - 2.0 is reasonable. Higher = more risk. MaxLotMultiplier Value: 8.0 Explanation: Maximum lot multiplication limit (8x = maximum 3 consecutive losses) Advice: Do not exceed 8.0 for FTMO. Protects against explosive losses. ResetLotAfterWin Value: true Explanation: Resets lot to base value after a win Advice: ALWAYS true (security). MaxMartingaleSteps Value: 5 Explanation: Maximum number of martingale steps allowed Advice: 3-5 for FTMO, 5-7 for personal accounts. 3. Debug Messages DebugMessages Value: true Explanation: Displays detailed messages in MT5 logs (entries, exits, neurons, etc.) Advice: true during testing, false in production to reduce noise. 4. Multi-Trades (Simultaneous Trades) EnableMultiTrades Value: true Explanation: Allows opening multiple trades simultaneously Advice: true to diversify risk, false for conservative mode. MaxSimultaneousTrades Value: 3 Explanation: Maximum number of trades open at the same time Advice: 2-3 for FTMO, 3-5 for aggressive accounts. MinMinutesBetweenTrades Value: 15 Explanation: Minimum time between two trades (prevents overtrading) Advice: 15 min = maximum 4 trades per hour. Increase to 30 min for conservative mode. MaxTotalExposure Value: 0.3 (30%) Explanation: Maximum percentage of account exposed simultaneously Advice: 0.2-0.3 (20-30%) for FTMO, never exceed 0.5 (50%). 5. Neural Network (AI Core) NN_HiddenNeurons Value: 8 Explanation: Number of hidden neurons in the network (4 specialized + 4 adaptive) Advice: DO NOT MODIFY. Optimized for EUR/USD. NN_LearningRate Value: 0.001 Explanation: Neural network learning speed Advice: 0.0005 - 0.002. Lower = slow but stable learning. NN_UseBackpropagation Value: true Explanation: Enables automatic learning after each trade Advice: ALWAYS true (otherwise robot doesn't learn). NN_SpecializedNeurons Value: 4 Explanation: Number of specialized neurons (Scalping, Swing, Momentum, Volatility) Advice: DO NOT MODIFY. Fixed architecture. 6. Adam Optimizer (Accelerated Learning) UseAdamOptimizer Value: true Explanation: Uses Adam algorithm for 2x faster learning Advice: ALWAYS true (superior to classic SGD). Adam_Beta1 Value: 0.9 Explanation: Adam momentum parameter (smooths variations) Advice: Standard value, do not modify unless advanced testing. Adam_Beta2 Value: 0.999 Explanation: Adam RMSprop parameter (learning rate adaptation) Advice: Standard value, do not modify. Adam_Epsilon Value: 0.00000001 (1e-8) Explanation: Prevents division by zero in calculations Advice: Never modify. 7. L2 Regularization (Anti-Overfitting) UseL2Regularization Value: true Explanation: Reduces overfitting by 40% (avoids being too adapted to historical data) Advice: ALWAYS true. L2_Lambda Value: 0.001 Explanation: Regularization strength Advice: 0.0005 - 0.002. Do not modify unless comparative backtests. 8. Attention Mechanism (Intelligent Focus) UseAttentionMechanism Value: true Explanation: Allows network to dynamically focus on most important indicators Advice: ALWAYS true (improves accuracy by 15-25%). 9. Drawdown Protection (Loss Protection) MaxDrawdownPercent Value: 50.0% Explanation: Maximum allowed loss as percentage of capital before automatic stop Advice: FTMO Challenge = 10%, FTMO Verification = 5%, Personal accounts = 20-50%. MaxDrawdownMoney Value: 5000 USD Explanation: Maximum allowed loss in dollars before stop Advice: FTMO 100k = 10000 USD (10%), FTMO 200k = 20000 USD (10%). EnableDrawdownProtection Value: true Explanation: Enables automatic closure if drawdown exceeds limits Advice: ALWAYS true (critical safety for FTMO). 10. Multi-Timeframe Filter (Multi-Period Filter) EnableMultiTimeframeFilter Value: true Explanation: Verifies multiple timeframes are aligned before trading Advice: true = more conservative, false = more aggressive. MTF_Higher1 Value: M15 (15 minutes) Explanation: First higher timeframe to verify Advice: M15 or H1 depending on your style. MTF_Higher2 Value: H1 (1 hour) Explanation: Second higher timeframe (background trend) Advice: H1 or H4 to confirm main trend. MTF_MaPeriod Value: 50 Explanation: Moving average period used for multi-timeframe filter Advice: 50 = standard, 100 = slower but more reliable. MTF_MinAlignment Value: 0.6 (60%) Explanation: Minimum alignment percentage required between timeframes Advice: 0.5-0.7. Higher = fewer trades but more accurate. 11. Moving Average MaPeriod Value: 30 Explanation: Number of candles to calculate main moving average Advice: 20-50 for active trading, 100-200 for long term trading. MaTimeframe Value: M5 (5 minutes) Explanation: Time period for moving average Advice: M5 for scalping, M15 for day trading. MaMethod Value: SMA (Simple) Explanation: Moving average type (Simple, Exponential, Smoothed, Linear) Advice: SMA = standard, EMA = more reactive. MaPrice Value: CLOSE (closing price) Explanation: Price used to calculate average Advice: CLOSE = standard (others: OPEN, HIGH, LOW, MEDIAN, TYPICAL, WEIGHTED). 12. Trading Hours TradingStartHour Value: 7 Explanation: Trading start time (24h format) Advice: 7am = European session, 2pm = American session. TradingEndHour Value: 21 Explanation: Trading end time Advice: 9pm covers London + New York. Avoid 10pm-7am (low liquidity). GMTOffset Value: 0 Explanation: Your broker's time offset from GMT Advice: Check your broker's timezone (GMT+2, GMT+3, etc.). AutoClosePositionsEndSession Value: true Explanation: Automatically closes all positions at end time Advice: true to avoid unsupervised overnight positions. 13. Regime Detection (Trend/Range Detection) RegimeTF Value: M5 Explanation: Period used to detect market regime (trend or range) Advice: M5 or M15 for reactive detection. RegFastMA Value: 10 Explanation: Fast moving average period for regime detection Advice: 10-20 for sensitive detection. RegSlowMA Value: 40 Explanation: Slow moving average period Advice: 30-50, must be 3-4x larger than RegFastMA. RegATR Value: 14 Explanation: ATR (Average True Range) period to measure volatility Advice: 14 = standard, do not modify. RegADX Value: 14 Explanation: ADX (Average Directional Index) period for trend strength Advice: 14 = standard. TrendThresh Value: 0.25 Explanation: Threshold to consider trending (|score| > 0.25 = trend, else range) Advice: 0.2-0.3. Lower = detects trends earlier. VolStop Value: 0.75 Explanation: Volatility threshold to stop trading (market too agitated) Advice: 0.7-0.9. Lower = more conservative in volatility. 14. Advanced AI (Multi-Objective Optimization) AI_MemorySize Value: 150 Explanation: Number of trades memorized for learning Advice: 100-200. More = learning on more history. AI_RiskRewardWeight Value: 0.4 (40%) Explanation: Importance of risk/reward ratio in decisions Advice: Sum of all weights must = 1.0. AI_SharpeWeight Value: 0.3 (30%) Explanation: Importance of Sharpe ratio (risk-adjusted return) Advice: Higher = favors regularity of gains. AI_DrawdownWeight Value: 0.2 (20%) Explanation: Importance of minimizing losses Advice: Increase for conservative FTMO mode. AI_WinRateWeight Value: 0.1 (10%) Explanation: Importance of win rate Advice: Less important than risk/reward. AI_MultiTimeframeLearning Value: true Explanation: Learns on multiple timeframes simultaneously Advice: ALWAYS true (more complete market vision). 15. Dynamic TP/SL Calculation (Take Profit and Stop Loss) UseDynamicStopLoss Value: true Explanation: Automatically calculates Stop Loss based on market volatility Advice: true = adaptive, false = uses fixed values. UseDynamicTakeProfit Value: true Explanation: Automatically calculates Take Profit Advice: true for automatic adaptation. DefaultStopLossPips Value: 60 pips Explanation: Fixed SL if dynamic mode disabled Advice: 40-80 pips for EUR/USD M15. DefaultTakeProfitPips Value: 120 pips Explanation: Fixed TP if dynamic mode disabled Advice: 1:2 ratio recommended (TP = 2x SL). MinStopLossPips Value: 30 pips Explanation: Minimum allowed SL (protection against too small SL) Advice: 20-40 pips depending on EUR/USD volatility. MaxStopLossPips Value: 150 pips Explanation: Maximum allowed SL Advice: 100-200 pips. Larger = more capital at risk. MinTakeProfitPips Value: 40 pips Explanation: Minimum TP Advice: Must be > MinStopLossPips for favorable ratio. MaxTakeProfitPips Value: 300 pips Explanation: Maximum TP Advice: 200-400 pips depending on trading style. ATR_Period_TPSL Value: 14 Explanation: ATR period used to calculate dynamic TP/SL Advice: 14 = standard. ATR_Multiplier_SL Value: 1.5 Explanation: ATR multiplier for Stop Loss (SL = ATR x 1.5) Advice: 1.0-2.0. Higher = wider SL. ATR_Multiplier_TP Value: 3.0 Explanation: ATR multiplier for Take Profit (TP = ATR x 3.0) Advice: 2.0-4.0. Must be 2x ATR_Multiplier_SL minimum. 16. Trading Days TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday Value: true Explanation: Enable/disable trading for each day of week Advice: Disable Friday after 3pm (widened spreads) and Monday morning (volatility). TradeSaturday, TradeSunday Value: false Explanation: Weekend trading (market closed for Forex) Advice: ALWAYS false for Forex. 17. Daily Reset ResetLotDaily Value: true Explanation: Resets lot to base value each day at midnight Advice: true for controlled martingale. ResetDrawdownDaily Value: false Explanation: Resets drawdown counter each day Advice: FALSE for FTMO (cumulative drawdown over entire period). 18. Intelligent Neural TP/SL UseNeuralTPSL Value: true Explanation: Uses 8 neurons to calculate optimal TP/SL Advice: true = intelligent TP/SL, false = TP/SL based on ATR only. NeuralTPSL_Sensitivity Value: 1.0 Explanation: Neural calculation sensitivity (0.5 = conservative, 2.0 = aggressive) Advice: 0.8-1.2 for balance. NeuralTPSL_MinConfidence Value: 0.6 (60%) Explanation: Minimum confidence required to use neural TP/SL (otherwise uses ATR) Advice: 0.5-0.7. Higher = uses neurons less often. 19. Early Neural Exit UseNeuralExit Value: true Explanation: Closes position if neurons change opinion (reverse signal) Advice: true = active protection, false = keeps position until TP/SL. NeuralExit_Threshold Value: 0.30 (30%) Explanation: Neural change threshold to exit (30% = strong change) Advice: 0.2-0.4. Lower = exits more easily. NeuralExit_ProtectProfit Value: true Explanation: Exits only if in profit (keeps losing positions) Advice: true to protect acquired gains. NeuralExit_CheckInterval Value: 5 ticks Explanation: Frequency of neuron verification (every 5 ticks) Advice: 5-10. Lower = more reactive but more CPU. 20. Trailing Stop & Take Profit UseTrailingStop Value: true Explanation: Enables trailing Stop Loss (follows price in profit) Advice: true to automatically protect profits. TrailingBasedOnProfit Value: true (v6.1) Explanation: Bases trailing on percentage of current gains Advice: true = smarter than fixed distance. TrailingProfitPercent Value: 50.0% (v6.1) Explanation: Percentage of gains to protect (50% = protects half of profits) Advice: 30-70%. Higher = more conservative. TrailingStopDistance Value: 20 pips Explanation: Trailing distance if percentage mode disabled Advice: 15-30 pips for EUR/USD. TrailingStepPips Value: 5 pips Explanation: Trailing movement step (moves every 5 pips of profit) Advice: 3-10 pips. Lower = more frequent but more orders. UseTrailingTP Value: false Explanation: Enables trailing Take Profit (EXPERIMENTAL) Advice: false (experimental feature, may reduce profits). TrailingTP_DistancePips Value: 30 pips Explanation: Trailing TP distance Advice: If enabled, 20-50 pips. TrailingActivateAtProfit Value: true Explanation: Activates trailing only when in profit Advice: ALWAYS true (don't trail losses). TrailingActivatePips Value: 10 pips Explanation: Number of profit pips before activating trailing Advice: 5-15 pips. Lower = activates earlier. MinBrokerStopBufferPips Value: 2.0 pips (v6.1) Explanation: Safety buffer to avoid broker rejections (too close to market) Advice: 1-3 pips depending on your broker. Strict brokers = 3 pips. 21. Multi-Index Correlation (v6.0) UseCorrelationContext Value: true Explanation: Analyzes 8 correlated instruments to detect Risk-On/Risk-Off Advice: true = smarter decisions (+15% accuracy). CorrLookbackBars Value: 50 bars Explanation: Number of candles to calculate correlation Advice: 30-100. More = more stable correlation. CorrRecalcMinutes Value: 5 minutes Explanation: Correlation recalculation frequency (intelligent cache) Advice: 3-10 minutes. Lower = more reactive but more CPU. CorrTimeframe1, CorrTimeframe2, CorrTimeframe3 Value: M5, M15, H1 Explanation: 3 timeframes used for multi-timeframe correlation Advice: Keep M5/M15/H1 for short/medium/long term vision. 22. Correlated Instruments Selection Include_GBPUSD Value: true Explanation: Include GBP/USD (highly correlated to EUR/USD) Advice: true (important major pair). Include_USDJPY Value: true Explanation: Include USD/JPY (risk appetite indicator) Advice: true (risk-on/risk-off). Include_USDCHF Value: true Explanation: Include USD/CHF (dollar strength) Advice: true (inverse EUR/USD). Include_AUDUSD Value: true Explanation: Include AUD/USD (commodity currencies) Advice: true (market sentiment). Include_EURJPY Value: true Explanation: Include EUR/JPY (EUR strength) Advice: true (EUR correlation). Include_DXY Value: false Explanation: Include Dollar Index (DXY) Advice: false as unavailable with most brokers. true if available. Include_XAUUSD (Include_Gold) Value: true Explanation: Include Gold (safe haven in crisis) Advice: true (critical Risk-Off indicator). Include_SPX500 Value: false Explanation: Include S&P 500 (risk appetite) Advice: true if your broker offers SPX500/US500. Verify exact symbol. Include_DAX Value: false Explanation: Include DAX (European market) Advice: true if available (European correlations). 23. Contextual Filtering UseContextFiltering Value: true Explanation: Filters trades according to global market context Advice: true = fewer trades but better quality. ContextConfidenceBoost Value: 1.3 (30% boost) Explanation: Increases confidence if favorable context (Risk-On for EUR/USD) Advice: 1.2-1.5. Higher = more aggressive in favorable context. ContextConfidenceCut Value: 0.6 (40% reduction) Explanation: Reduces confidence if unfavorable context Advice: 0.5-0.7. Lower = more conservative. BlockTradesOnBadContext Value: false Explanation: Completely blocks trades if very unfavorable context Advice: false = flexible, true = ultra-conservative (may miss opportunities). Gracias por la información tan detallada. Cristian-bogdan Buzatu 2025.11.12 20:56 #4 I used your settings, EURUSD#, M15, on XM, 2022-2025. It stops after 6 trades. patrickdrew 2025.11.13 14:09 #5 Might be easier to just pin a .set file! ;-) Cristian-bogdan Buzatu 2025.11.13 18:04 #6 patrickdrew #: Might be easier to just pin a .set file! ;-) For us, much easier! :) loladubois 2026.02.03 15:35 #7 check dm Thierry robert 2026.02.25 15:36 #8 bonjour merci pour votre EA , avez vous un fichier set Thierry robert 2026.02.26 17:04 #9 Hello, I started testing on XauUSD, it takes two trades and then stops. It's strange, it seems very good. Can you help me? 제품을 구매하거나 렌트한 사용자만 코멘트를 남길 수 있습니다 트레이딩 기회를 놓치고 있어요: 무료 트레이딩 앱 복사용 8,000 이상의 시그널 금융 시장 개척을 위한 경제 뉴스 등록 로그인 공백없는 라틴 문자 비밀번호가 이 이메일로 전송될 것입니다 오류 발생됨 Google으로 로그인 웹사이트 정책 및 이용약관에 동의합니다. 계정이 없으시면, 가입하십시오 MQL5.com 웹사이트에 로그인을 하기 위해 쿠키를 허용하십시오. 브라우저에서 필요한 설정을 활성화하시지 않으면, 로그인할 수 없습니다. 사용자명/비밀번호를 잊으셨습니까? Google으로 로그인
Henri Joel Biock-soares 2025.11.09 15:17 #2 Angel Larroca #: ¿Y el archivo .set? LotSize Value: 0.1 Explanation: Initial lot size for each trade Advice: For FTMO 100k$ account, use 0.1 - 0.2 lot. Smaller = less risk. MagicNumber Value: 123456 Explanation: Unique number that identifies this EA's trades (allows multiple EAs on same account) Advice: Change only if using multiple different EAs on the same account. FractalShift Value: 2 Explanation: Number of candles to detect a fractal (reversal signal) Advice: Do not modify (Bill Williams standard value). MaxConsecutiveLosses Value: 10 Explanation: Maximum number of consecutive losses before EA automatically stops Advice: Anti-catastrophe safety. 10 is reasonable for FTMO. 2. Martingale (Progressive Lot Management) EnableMartingale Value: true Explanation: Enables martingale strategy (increases lot after loss to recover) Advice: DISABLE (false) for strict FTMO challenges. Enable (true) for personal accounts. MartingaleMultiplier Value: 2.0 Explanation: How much to multiply lot after a loss (2.0 = double the lot) Advice: 1.5 - 2.0 is reasonable. Higher = more risk. MaxLotMultiplier Value: 8.0 Explanation: Maximum lot multiplication limit (8x = maximum 3 consecutive losses) Advice: Do not exceed 8.0 for FTMO. Protects against explosive losses. ResetLotAfterWin Value: true Explanation: Resets lot to base value after a win Advice: ALWAYS true (security). MaxMartingaleSteps Value: 5 Explanation: Maximum number of martingale steps allowed Advice: 3-5 for FTMO, 5-7 for personal accounts. 3. Debug Messages DebugMessages Value: true Explanation: Displays detailed messages in MT5 logs (entries, exits, neurons, etc.) Advice: true during testing, false in production to reduce noise. 4. Multi-Trades (Simultaneous Trades) EnableMultiTrades Value: true Explanation: Allows opening multiple trades simultaneously Advice: true to diversify risk, false for conservative mode. MaxSimultaneousTrades Value: 3 Explanation: Maximum number of trades open at the same time Advice: 2-3 for FTMO, 3-5 for aggressive accounts. MinMinutesBetweenTrades Value: 15 Explanation: Minimum time between two trades (prevents overtrading) Advice: 15 min = maximum 4 trades per hour. Increase to 30 min for conservative mode. MaxTotalExposure Value: 0.3 (30%) Explanation: Maximum percentage of account exposed simultaneously Advice: 0.2-0.3 (20-30%) for FTMO, never exceed 0.5 (50%). 5. Neural Network (AI Core) NN_HiddenNeurons Value: 8 Explanation: Number of hidden neurons in the network (4 specialized + 4 adaptive) Advice: DO NOT MODIFY. Optimized for EUR/USD. NN_LearningRate Value: 0.001 Explanation: Neural network learning speed Advice: 0.0005 - 0.002. Lower = slow but stable learning. NN_UseBackpropagation Value: true Explanation: Enables automatic learning after each trade Advice: ALWAYS true (otherwise robot doesn't learn). NN_SpecializedNeurons Value: 4 Explanation: Number of specialized neurons (Scalping, Swing, Momentum, Volatility) Advice: DO NOT MODIFY. Fixed architecture. 6. Adam Optimizer (Accelerated Learning) UseAdamOptimizer Value: true Explanation: Uses Adam algorithm for 2x faster learning Advice: ALWAYS true (superior to classic SGD). Adam_Beta1 Value: 0.9 Explanation: Adam momentum parameter (smooths variations) Advice: Standard value, do not modify unless advanced testing. Adam_Beta2 Value: 0.999 Explanation: Adam RMSprop parameter (learning rate adaptation) Advice: Standard value, do not modify. Adam_Epsilon Value: 0.00000001 (1e-8) Explanation: Prevents division by zero in calculations Advice: Never modify. 7. L2 Regularization (Anti-Overfitting) UseL2Regularization Value: true Explanation: Reduces overfitting by 40% (avoids being too adapted to historical data) Advice: ALWAYS true. L2_Lambda Value: 0.001 Explanation: Regularization strength Advice: 0.0005 - 0.002. Do not modify unless comparative backtests. 8. Attention Mechanism (Intelligent Focus) UseAttentionMechanism Value: true Explanation: Allows network to dynamically focus on most important indicators Advice: ALWAYS true (improves accuracy by 15-25%). 9. Drawdown Protection (Loss Protection) MaxDrawdownPercent Value: 50.0% Explanation: Maximum allowed loss as percentage of capital before automatic stop Advice: FTMO Challenge = 10%, FTMO Verification = 5%, Personal accounts = 20-50%. MaxDrawdownMoney Value: 5000 USD Explanation: Maximum allowed loss in dollars before stop Advice: FTMO 100k = 10000 USD (10%), FTMO 200k = 20000 USD (10%). EnableDrawdownProtection Value: true Explanation: Enables automatic closure if drawdown exceeds limits Advice: ALWAYS true (critical safety for FTMO). 10. Multi-Timeframe Filter (Multi-Period Filter) EnableMultiTimeframeFilter Value: true Explanation: Verifies multiple timeframes are aligned before trading Advice: true = more conservative, false = more aggressive. MTF_Higher1 Value: M15 (15 minutes) Explanation: First higher timeframe to verify Advice: M15 or H1 depending on your style. MTF_Higher2 Value: H1 (1 hour) Explanation: Second higher timeframe (background trend) Advice: H1 or H4 to confirm main trend. MTF_MaPeriod Value: 50 Explanation: Moving average period used for multi-timeframe filter Advice: 50 = standard, 100 = slower but more reliable. MTF_MinAlignment Value: 0.6 (60%) Explanation: Minimum alignment percentage required between timeframes Advice: 0.5-0.7. Higher = fewer trades but more accurate. 11. Moving Average MaPeriod Value: 30 Explanation: Number of candles to calculate main moving average Advice: 20-50 for active trading, 100-200 for long term trading. MaTimeframe Value: M5 (5 minutes) Explanation: Time period for moving average Advice: M5 for scalping, M15 for day trading. MaMethod Value: SMA (Simple) Explanation: Moving average type (Simple, Exponential, Smoothed, Linear) Advice: SMA = standard, EMA = more reactive. MaPrice Value: CLOSE (closing price) Explanation: Price used to calculate average Advice: CLOSE = standard (others: OPEN, HIGH, LOW, MEDIAN, TYPICAL, WEIGHTED). 12. Trading Hours TradingStartHour Value: 7 Explanation: Trading start time (24h format) Advice: 7am = European session, 2pm = American session. TradingEndHour Value: 21 Explanation: Trading end time Advice: 9pm covers London + New York. Avoid 10pm-7am (low liquidity). GMTOffset Value: 0 Explanation: Your broker's time offset from GMT Advice: Check your broker's timezone (GMT+2, GMT+3, etc.). AutoClosePositionsEndSession Value: true Explanation: Automatically closes all positions at end time Advice: true to avoid unsupervised overnight positions. 13. Regime Detection (Trend/Range Detection) RegimeTF Value: M5 Explanation: Period used to detect market regime (trend or range) Advice: M5 or M15 for reactive detection. RegFastMA Value: 10 Explanation: Fast moving average period for regime detection Advice: 10-20 for sensitive detection. RegSlowMA Value: 40 Explanation: Slow moving average period Advice: 30-50, must be 3-4x larger than RegFastMA. RegATR Value: 14 Explanation: ATR (Average True Range) period to measure volatility Advice: 14 = standard, do not modify. RegADX Value: 14 Explanation: ADX (Average Directional Index) period for trend strength Advice: 14 = standard. TrendThresh Value: 0.25 Explanation: Threshold to consider trending (|score| > 0.25 = trend, else range) Advice: 0.2-0.3. Lower = detects trends earlier. VolStop Value: 0.75 Explanation: Volatility threshold to stop trading (market too agitated) Advice: 0.7-0.9. Lower = more conservative in volatility. 14. Advanced AI (Multi-Objective Optimization) AI_MemorySize Value: 150 Explanation: Number of trades memorized for learning Advice: 100-200. More = learning on more history. AI_RiskRewardWeight Value: 0.4 (40%) Explanation: Importance of risk/reward ratio in decisions Advice: Sum of all weights must = 1.0. AI_SharpeWeight Value: 0.3 (30%) Explanation: Importance of Sharpe ratio (risk-adjusted return) Advice: Higher = favors regularity of gains. AI_DrawdownWeight Value: 0.2 (20%) Explanation: Importance of minimizing losses Advice: Increase for conservative FTMO mode. AI_WinRateWeight Value: 0.1 (10%) Explanation: Importance of win rate Advice: Less important than risk/reward. AI_MultiTimeframeLearning Value: true Explanation: Learns on multiple timeframes simultaneously Advice: ALWAYS true (more complete market vision). 15. Dynamic TP/SL Calculation (Take Profit and Stop Loss) UseDynamicStopLoss Value: true Explanation: Automatically calculates Stop Loss based on market volatility Advice: true = adaptive, false = uses fixed values. UseDynamicTakeProfit Value: true Explanation: Automatically calculates Take Profit Advice: true for automatic adaptation. DefaultStopLossPips Value: 60 pips Explanation: Fixed SL if dynamic mode disabled Advice: 40-80 pips for EUR/USD M15. DefaultTakeProfitPips Value: 120 pips Explanation: Fixed TP if dynamic mode disabled Advice: 1:2 ratio recommended (TP = 2x SL). MinStopLossPips Value: 30 pips Explanation: Minimum allowed SL (protection against too small SL) Advice: 20-40 pips depending on EUR/USD volatility. MaxStopLossPips Value: 150 pips Explanation: Maximum allowed SL Advice: 100-200 pips. Larger = more capital at risk. MinTakeProfitPips Value: 40 pips Explanation: Minimum TP Advice: Must be > MinStopLossPips for favorable ratio. MaxTakeProfitPips Value: 300 pips Explanation: Maximum TP Advice: 200-400 pips depending on trading style. ATR_Period_TPSL Value: 14 Explanation: ATR period used to calculate dynamic TP/SL Advice: 14 = standard. ATR_Multiplier_SL Value: 1.5 Explanation: ATR multiplier for Stop Loss (SL = ATR x 1.5) Advice: 1.0-2.0. Higher = wider SL. ATR_Multiplier_TP Value: 3.0 Explanation: ATR multiplier for Take Profit (TP = ATR x 3.0) Advice: 2.0-4.0. Must be 2x ATR_Multiplier_SL minimum. 16. Trading Days TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday Value: true Explanation: Enable/disable trading for each day of week Advice: Disable Friday after 3pm (widened spreads) and Monday morning (volatility). TradeSaturday, TradeSunday Value: false Explanation: Weekend trading (market closed for Forex) Advice: ALWAYS false for Forex. 17. Daily Reset ResetLotDaily Value: true Explanation: Resets lot to base value each day at midnight Advice: true for controlled martingale. ResetDrawdownDaily Value: false Explanation: Resets drawdown counter each day Advice: FALSE for FTMO (cumulative drawdown over entire period). 18. Intelligent Neural TP/SL UseNeuralTPSL Value: true Explanation: Uses 8 neurons to calculate optimal TP/SL Advice: true = intelligent TP/SL, false = TP/SL based on ATR only. NeuralTPSL_Sensitivity Value: 1.0 Explanation: Neural calculation sensitivity (0.5 = conservative, 2.0 = aggressive) Advice: 0.8-1.2 for balance. NeuralTPSL_MinConfidence Value: 0.6 (60%) Explanation: Minimum confidence required to use neural TP/SL (otherwise uses ATR) Advice: 0.5-0.7. Higher = uses neurons less often. 19. Early Neural Exit UseNeuralExit Value: true Explanation: Closes position if neurons change opinion (reverse signal) Advice: true = active protection, false = keeps position until TP/SL. NeuralExit_Threshold Value: 0.30 (30%) Explanation: Neural change threshold to exit (30% = strong change) Advice: 0.2-0.4. Lower = exits more easily. NeuralExit_ProtectProfit Value: true Explanation: Exits only if in profit (keeps losing positions) Advice: true to protect acquired gains. NeuralExit_CheckInterval Value: 5 ticks Explanation: Frequency of neuron verification (every 5 ticks) Advice: 5-10. Lower = more reactive but more CPU. 20. Trailing Stop & Take Profit UseTrailingStop Value: true Explanation: Enables trailing Stop Loss (follows price in profit) Advice: true to automatically protect profits. TrailingBasedOnProfit Value: true (v6.1) Explanation: Bases trailing on percentage of current gains Advice: true = smarter than fixed distance. TrailingProfitPercent Value: 50.0% (v6.1) Explanation: Percentage of gains to protect (50% = protects half of profits) Advice: 30-70%. Higher = more conservative. TrailingStopDistance Value: 20 pips Explanation: Trailing distance if percentage mode disabled Advice: 15-30 pips for EUR/USD. TrailingStepPips Value: 5 pips Explanation: Trailing movement step (moves every 5 pips of profit) Advice: 3-10 pips. Lower = more frequent but more orders. UseTrailingTP Value: false Explanation: Enables trailing Take Profit (EXPERIMENTAL) Advice: false (experimental feature, may reduce profits). TrailingTP_DistancePips Value: 30 pips Explanation: Trailing TP distance Advice: If enabled, 20-50 pips. TrailingActivateAtProfit Value: true Explanation: Activates trailing only when in profit Advice: ALWAYS true (don't trail losses). TrailingActivatePips Value: 10 pips Explanation: Number of profit pips before activating trailing Advice: 5-15 pips. Lower = activates earlier. MinBrokerStopBufferPips Value: 2.0 pips (v6.1) Explanation: Safety buffer to avoid broker rejections (too close to market) Advice: 1-3 pips depending on your broker. Strict brokers = 3 pips. 21. Multi-Index Correlation (v6.0) UseCorrelationContext Value: true Explanation: Analyzes 8 correlated instruments to detect Risk-On/Risk-Off Advice: true = smarter decisions (+15% accuracy). CorrLookbackBars Value: 50 bars Explanation: Number of candles to calculate correlation Advice: 30-100. More = more stable correlation. CorrRecalcMinutes Value: 5 minutes Explanation: Correlation recalculation frequency (intelligent cache) Advice: 3-10 minutes. Lower = more reactive but more CPU. CorrTimeframe1, CorrTimeframe2, CorrTimeframe3 Value: M5, M15, H1 Explanation: 3 timeframes used for multi-timeframe correlation Advice: Keep M5/M15/H1 for short/medium/long term vision. 22. Correlated Instruments Selection Include_GBPUSD Value: true Explanation: Include GBP/USD (highly correlated to EUR/USD) Advice: true (important major pair). Include_USDJPY Value: true Explanation: Include USD/JPY (risk appetite indicator) Advice: true (risk-on/risk-off). Include_USDCHF Value: true Explanation: Include USD/CHF (dollar strength) Advice: true (inverse EUR/USD). Include_AUDUSD Value: true Explanation: Include AUD/USD (commodity currencies) Advice: true (market sentiment). Include_EURJPY Value: true Explanation: Include EUR/JPY (EUR strength) Advice: true (EUR correlation). Include_DXY Value: false Explanation: Include Dollar Index (DXY) Advice: false as unavailable with most brokers. true if available. Include_XAUUSD (Include_Gold) Value: true Explanation: Include Gold (safe haven in crisis) Advice: true (critical Risk-Off indicator). Include_SPX500 Value: false Explanation: Include S&P 500 (risk appetite) Advice: true if your broker offers SPX500/US500. Verify exact symbol. Include_DAX Value: false Explanation: Include DAX (European market) Advice: true if available (European correlations). 23. Contextual Filtering UseContextFiltering Value: true Explanation: Filters trades according to global market context Advice: true = fewer trades but better quality. ContextConfidenceBoost Value: 1.3 (30% boost) Explanation: Increases confidence if favorable context (Risk-On for EUR/USD) Advice: 1.2-1.5. Higher = more aggressive in favorable context. ContextConfidenceCut Value: 0.6 (40% reduction) Explanation: Reduces confidence if unfavorable context Advice: 0.5-0.7. Lower = more conservative. BlockTradesOnBadContext Value: false Explanation: Completely blocks trades if very unfavorable context Advice: false = flexible, true = ultra-conservative (may miss opportunities).
Angel Larroca 2025.11.09 17:55 #3 Henri Joel Biock-soares #: LotSize Value: 0.1 Explanation: Initial lot size for each trade Advice: For FTMO 100k$ account, use 0.1 - 0.2 lot. Smaller = less risk. MagicNumber Value: 123456 Explanation: Unique number that identifies this EA's trades (allows multiple EAs on same account) Advice: Change only if using multiple different EAs on the same account. FractalShift Value: 2 Explanation: Number of candles to detect a fractal (reversal signal) Advice: Do not modify (Bill Williams standard value). MaxConsecutiveLosses Value: 10 Explanation: Maximum number of consecutive losses before EA automatically stops Advice: Anti-catastrophe safety. 10 is reasonable for FTMO. 2. Martingale (Progressive Lot Management) EnableMartingale Value: true Explanation: Enables martingale strategy (increases lot after loss to recover) Advice: DISABLE (false) for strict FTMO challenges. Enable (true) for personal accounts. MartingaleMultiplier Value: 2.0 Explanation: How much to multiply lot after a loss (2.0 = double the lot) Advice: 1.5 - 2.0 is reasonable. Higher = more risk. MaxLotMultiplier Value: 8.0 Explanation: Maximum lot multiplication limit (8x = maximum 3 consecutive losses) Advice: Do not exceed 8.0 for FTMO. Protects against explosive losses. ResetLotAfterWin Value: true Explanation: Resets lot to base value after a win Advice: ALWAYS true (security). MaxMartingaleSteps Value: 5 Explanation: Maximum number of martingale steps allowed Advice: 3-5 for FTMO, 5-7 for personal accounts. 3. Debug Messages DebugMessages Value: true Explanation: Displays detailed messages in MT5 logs (entries, exits, neurons, etc.) Advice: true during testing, false in production to reduce noise. 4. Multi-Trades (Simultaneous Trades) EnableMultiTrades Value: true Explanation: Allows opening multiple trades simultaneously Advice: true to diversify risk, false for conservative mode. MaxSimultaneousTrades Value: 3 Explanation: Maximum number of trades open at the same time Advice: 2-3 for FTMO, 3-5 for aggressive accounts. MinMinutesBetweenTrades Value: 15 Explanation: Minimum time between two trades (prevents overtrading) Advice: 15 min = maximum 4 trades per hour. Increase to 30 min for conservative mode. MaxTotalExposure Value: 0.3 (30%) Explanation: Maximum percentage of account exposed simultaneously Advice: 0.2-0.3 (20-30%) for FTMO, never exceed 0.5 (50%). 5. Neural Network (AI Core) NN_HiddenNeurons Value: 8 Explanation: Number of hidden neurons in the network (4 specialized + 4 adaptive) Advice: DO NOT MODIFY. Optimized for EUR/USD. NN_LearningRate Value: 0.001 Explanation: Neural network learning speed Advice: 0.0005 - 0.002. Lower = slow but stable learning. NN_UseBackpropagation Value: true Explanation: Enables automatic learning after each trade Advice: ALWAYS true (otherwise robot doesn't learn). NN_SpecializedNeurons Value: 4 Explanation: Number of specialized neurons (Scalping, Swing, Momentum, Volatility) Advice: DO NOT MODIFY. Fixed architecture. 6. Adam Optimizer (Accelerated Learning) UseAdamOptimizer Value: true Explanation: Uses Adam algorithm for 2x faster learning Advice: ALWAYS true (superior to classic SGD). Adam_Beta1 Value: 0.9 Explanation: Adam momentum parameter (smooths variations) Advice: Standard value, do not modify unless advanced testing. Adam_Beta2 Value: 0.999 Explanation: Adam RMSprop parameter (learning rate adaptation) Advice: Standard value, do not modify. Adam_Epsilon Value: 0.00000001 (1e-8) Explanation: Prevents division by zero in calculations Advice: Never modify. 7. L2 Regularization (Anti-Overfitting) UseL2Regularization Value: true Explanation: Reduces overfitting by 40% (avoids being too adapted to historical data) Advice: ALWAYS true. L2_Lambda Value: 0.001 Explanation: Regularization strength Advice: 0.0005 - 0.002. Do not modify unless comparative backtests. 8. Attention Mechanism (Intelligent Focus) UseAttentionMechanism Value: true Explanation: Allows network to dynamically focus on most important indicators Advice: ALWAYS true (improves accuracy by 15-25%). 9. Drawdown Protection (Loss Protection) MaxDrawdownPercent Value: 50.0% Explanation: Maximum allowed loss as percentage of capital before automatic stop Advice: FTMO Challenge = 10%, FTMO Verification = 5%, Personal accounts = 20-50%. MaxDrawdownMoney Value: 5000 USD Explanation: Maximum allowed loss in dollars before stop Advice: FTMO 100k = 10000 USD (10%), FTMO 200k = 20000 USD (10%). EnableDrawdownProtection Value: true Explanation: Enables automatic closure if drawdown exceeds limits Advice: ALWAYS true (critical safety for FTMO). 10. Multi-Timeframe Filter (Multi-Period Filter) EnableMultiTimeframeFilter Value: true Explanation: Verifies multiple timeframes are aligned before trading Advice: true = more conservative, false = more aggressive. MTF_Higher1 Value: M15 (15 minutes) Explanation: First higher timeframe to verify Advice: M15 or H1 depending on your style. MTF_Higher2 Value: H1 (1 hour) Explanation: Second higher timeframe (background trend) Advice: H1 or H4 to confirm main trend. MTF_MaPeriod Value: 50 Explanation: Moving average period used for multi-timeframe filter Advice: 50 = standard, 100 = slower but more reliable. MTF_MinAlignment Value: 0.6 (60%) Explanation: Minimum alignment percentage required between timeframes Advice: 0.5-0.7. Higher = fewer trades but more accurate. 11. Moving Average MaPeriod Value: 30 Explanation: Number of candles to calculate main moving average Advice: 20-50 for active trading, 100-200 for long term trading. MaTimeframe Value: M5 (5 minutes) Explanation: Time period for moving average Advice: M5 for scalping, M15 for day trading. MaMethod Value: SMA (Simple) Explanation: Moving average type (Simple, Exponential, Smoothed, Linear) Advice: SMA = standard, EMA = more reactive. MaPrice Value: CLOSE (closing price) Explanation: Price used to calculate average Advice: CLOSE = standard (others: OPEN, HIGH, LOW, MEDIAN, TYPICAL, WEIGHTED). 12. Trading Hours TradingStartHour Value: 7 Explanation: Trading start time (24h format) Advice: 7am = European session, 2pm = American session. TradingEndHour Value: 21 Explanation: Trading end time Advice: 9pm covers London + New York. Avoid 10pm-7am (low liquidity). GMTOffset Value: 0 Explanation: Your broker's time offset from GMT Advice: Check your broker's timezone (GMT+2, GMT+3, etc.). AutoClosePositionsEndSession Value: true Explanation: Automatically closes all positions at end time Advice: true to avoid unsupervised overnight positions. 13. Regime Detection (Trend/Range Detection) RegimeTF Value: M5 Explanation: Period used to detect market regime (trend or range) Advice: M5 or M15 for reactive detection. RegFastMA Value: 10 Explanation: Fast moving average period for regime detection Advice: 10-20 for sensitive detection. RegSlowMA Value: 40 Explanation: Slow moving average period Advice: 30-50, must be 3-4x larger than RegFastMA. RegATR Value: 14 Explanation: ATR (Average True Range) period to measure volatility Advice: 14 = standard, do not modify. RegADX Value: 14 Explanation: ADX (Average Directional Index) period for trend strength Advice: 14 = standard. TrendThresh Value: 0.25 Explanation: Threshold to consider trending (|score| > 0.25 = trend, else range) Advice: 0.2-0.3. Lower = detects trends earlier. VolStop Value: 0.75 Explanation: Volatility threshold to stop trading (market too agitated) Advice: 0.7-0.9. Lower = more conservative in volatility. 14. Advanced AI (Multi-Objective Optimization) AI_MemorySize Value: 150 Explanation: Number of trades memorized for learning Advice: 100-200. More = learning on more history. AI_RiskRewardWeight Value: 0.4 (40%) Explanation: Importance of risk/reward ratio in decisions Advice: Sum of all weights must = 1.0. AI_SharpeWeight Value: 0.3 (30%) Explanation: Importance of Sharpe ratio (risk-adjusted return) Advice: Higher = favors regularity of gains. AI_DrawdownWeight Value: 0.2 (20%) Explanation: Importance of minimizing losses Advice: Increase for conservative FTMO mode. AI_WinRateWeight Value: 0.1 (10%) Explanation: Importance of win rate Advice: Less important than risk/reward. AI_MultiTimeframeLearning Value: true Explanation: Learns on multiple timeframes simultaneously Advice: ALWAYS true (more complete market vision). 15. Dynamic TP/SL Calculation (Take Profit and Stop Loss) UseDynamicStopLoss Value: true Explanation: Automatically calculates Stop Loss based on market volatility Advice: true = adaptive, false = uses fixed values. UseDynamicTakeProfit Value: true Explanation: Automatically calculates Take Profit Advice: true for automatic adaptation. DefaultStopLossPips Value: 60 pips Explanation: Fixed SL if dynamic mode disabled Advice: 40-80 pips for EUR/USD M15. DefaultTakeProfitPips Value: 120 pips Explanation: Fixed TP if dynamic mode disabled Advice: 1:2 ratio recommended (TP = 2x SL). MinStopLossPips Value: 30 pips Explanation: Minimum allowed SL (protection against too small SL) Advice: 20-40 pips depending on EUR/USD volatility. MaxStopLossPips Value: 150 pips Explanation: Maximum allowed SL Advice: 100-200 pips. Larger = more capital at risk. MinTakeProfitPips Value: 40 pips Explanation: Minimum TP Advice: Must be > MinStopLossPips for favorable ratio. MaxTakeProfitPips Value: 300 pips Explanation: Maximum TP Advice: 200-400 pips depending on trading style. ATR_Period_TPSL Value: 14 Explanation: ATR period used to calculate dynamic TP/SL Advice: 14 = standard. ATR_Multiplier_SL Value: 1.5 Explanation: ATR multiplier for Stop Loss (SL = ATR x 1.5) Advice: 1.0-2.0. Higher = wider SL. ATR_Multiplier_TP Value: 3.0 Explanation: ATR multiplier for Take Profit (TP = ATR x 3.0) Advice: 2.0-4.0. Must be 2x ATR_Multiplier_SL minimum. 16. Trading Days TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday Value: true Explanation: Enable/disable trading for each day of week Advice: Disable Friday after 3pm (widened spreads) and Monday morning (volatility). TradeSaturday, TradeSunday Value: false Explanation: Weekend trading (market closed for Forex) Advice: ALWAYS false for Forex. 17. Daily Reset ResetLotDaily Value: true Explanation: Resets lot to base value each day at midnight Advice: true for controlled martingale. ResetDrawdownDaily Value: false Explanation: Resets drawdown counter each day Advice: FALSE for FTMO (cumulative drawdown over entire period). 18. Intelligent Neural TP/SL UseNeuralTPSL Value: true Explanation: Uses 8 neurons to calculate optimal TP/SL Advice: true = intelligent TP/SL, false = TP/SL based on ATR only. NeuralTPSL_Sensitivity Value: 1.0 Explanation: Neural calculation sensitivity (0.5 = conservative, 2.0 = aggressive) Advice: 0.8-1.2 for balance. NeuralTPSL_MinConfidence Value: 0.6 (60%) Explanation: Minimum confidence required to use neural TP/SL (otherwise uses ATR) Advice: 0.5-0.7. Higher = uses neurons less often. 19. Early Neural Exit UseNeuralExit Value: true Explanation: Closes position if neurons change opinion (reverse signal) Advice: true = active protection, false = keeps position until TP/SL. NeuralExit_Threshold Value: 0.30 (30%) Explanation: Neural change threshold to exit (30% = strong change) Advice: 0.2-0.4. Lower = exits more easily. NeuralExit_ProtectProfit Value: true Explanation: Exits only if in profit (keeps losing positions) Advice: true to protect acquired gains. NeuralExit_CheckInterval Value: 5 ticks Explanation: Frequency of neuron verification (every 5 ticks) Advice: 5-10. Lower = more reactive but more CPU. 20. Trailing Stop & Take Profit UseTrailingStop Value: true Explanation: Enables trailing Stop Loss (follows price in profit) Advice: true to automatically protect profits. TrailingBasedOnProfit Value: true (v6.1) Explanation: Bases trailing on percentage of current gains Advice: true = smarter than fixed distance. TrailingProfitPercent Value: 50.0% (v6.1) Explanation: Percentage of gains to protect (50% = protects half of profits) Advice: 30-70%. Higher = more conservative. TrailingStopDistance Value: 20 pips Explanation: Trailing distance if percentage mode disabled Advice: 15-30 pips for EUR/USD. TrailingStepPips Value: 5 pips Explanation: Trailing movement step (moves every 5 pips of profit) Advice: 3-10 pips. Lower = more frequent but more orders. UseTrailingTP Value: false Explanation: Enables trailing Take Profit (EXPERIMENTAL) Advice: false (experimental feature, may reduce profits). TrailingTP_DistancePips Value: 30 pips Explanation: Trailing TP distance Advice: If enabled, 20-50 pips. TrailingActivateAtProfit Value: true Explanation: Activates trailing only when in profit Advice: ALWAYS true (don't trail losses). TrailingActivatePips Value: 10 pips Explanation: Number of profit pips before activating trailing Advice: 5-15 pips. Lower = activates earlier. MinBrokerStopBufferPips Value: 2.0 pips (v6.1) Explanation: Safety buffer to avoid broker rejections (too close to market) Advice: 1-3 pips depending on your broker. Strict brokers = 3 pips. 21. Multi-Index Correlation (v6.0) UseCorrelationContext Value: true Explanation: Analyzes 8 correlated instruments to detect Risk-On/Risk-Off Advice: true = smarter decisions (+15% accuracy). CorrLookbackBars Value: 50 bars Explanation: Number of candles to calculate correlation Advice: 30-100. More = more stable correlation. CorrRecalcMinutes Value: 5 minutes Explanation: Correlation recalculation frequency (intelligent cache) Advice: 3-10 minutes. Lower = more reactive but more CPU. CorrTimeframe1, CorrTimeframe2, CorrTimeframe3 Value: M5, M15, H1 Explanation: 3 timeframes used for multi-timeframe correlation Advice: Keep M5/M15/H1 for short/medium/long term vision. 22. Correlated Instruments Selection Include_GBPUSD Value: true Explanation: Include GBP/USD (highly correlated to EUR/USD) Advice: true (important major pair). Include_USDJPY Value: true Explanation: Include USD/JPY (risk appetite indicator) Advice: true (risk-on/risk-off). Include_USDCHF Value: true Explanation: Include USD/CHF (dollar strength) Advice: true (inverse EUR/USD). Include_AUDUSD Value: true Explanation: Include AUD/USD (commodity currencies) Advice: true (market sentiment). Include_EURJPY Value: true Explanation: Include EUR/JPY (EUR strength) Advice: true (EUR correlation). Include_DXY Value: false Explanation: Include Dollar Index (DXY) Advice: false as unavailable with most brokers. true if available. Include_XAUUSD (Include_Gold) Value: true Explanation: Include Gold (safe haven in crisis) Advice: true (critical Risk-Off indicator). Include_SPX500 Value: false Explanation: Include S&P 500 (risk appetite) Advice: true if your broker offers SPX500/US500. Verify exact symbol. Include_DAX Value: false Explanation: Include DAX (European market) Advice: true if available (European correlations). 23. Contextual Filtering UseContextFiltering Value: true Explanation: Filters trades according to global market context Advice: true = fewer trades but better quality. ContextConfidenceBoost Value: 1.3 (30% boost) Explanation: Increases confidence if favorable context (Risk-On for EUR/USD) Advice: 1.2-1.5. Higher = more aggressive in favorable context. ContextConfidenceCut Value: 0.6 (40% reduction) Explanation: Reduces confidence if unfavorable context Advice: 0.5-0.7. Lower = more conservative. BlockTradesOnBadContext Value: false Explanation: Completely blocks trades if very unfavorable context Advice: false = flexible, true = ultra-conservative (may miss opportunities). Gracias por la información tan detallada.
Cristian-bogdan Buzatu 2025.11.12 20:56 #4 I used your settings, EURUSD#, M15, on XM, 2022-2025. It stops after 6 trades.
Cristian-bogdan Buzatu 2025.11.13 18:04 #6 patrickdrew #: Might be easier to just pin a .set file! ;-) For us, much easier! :)
Thierry robert 2026.02.26 17:04 #9 Hello, I started testing on XauUSD, it takes two trades and then stops. It's strange, it seems very good. Can you help me?
¿Y el archivo .set?
LotSize
MagicNumber
FractalShift
MaxConsecutiveLosses
2. Martingale (Progressive Lot Management)
EnableMartingale
MartingaleMultiplier
MaxLotMultiplier
ResetLotAfterWin
MaxMartingaleSteps
3. Debug Messages
DebugMessages
4. Multi-Trades (Simultaneous Trades)
EnableMultiTrades
MaxSimultaneousTrades
MinMinutesBetweenTrades
MaxTotalExposure
5. Neural Network (AI Core)
NN_HiddenNeurons
NN_LearningRate
NN_UseBackpropagation
NN_SpecializedNeurons
6. Adam Optimizer (Accelerated Learning)
UseAdamOptimizer
Adam_Beta1
Adam_Beta2
Adam_Epsilon
7. L2 Regularization (Anti-Overfitting)
UseL2Regularization
L2_Lambda
8. Attention Mechanism (Intelligent Focus)
UseAttentionMechanism
9. Drawdown Protection (Loss Protection)
MaxDrawdownPercent
MaxDrawdownMoney
EnableDrawdownProtection
10. Multi-Timeframe Filter (Multi-Period Filter)
EnableMultiTimeframeFilter
MTF_Higher1
MTF_Higher2
MTF_MaPeriod
MTF_MinAlignment
11. Moving Average
MaPeriod
MaTimeframe
MaMethod
MaPrice
12. Trading Hours
TradingStartHour
TradingEndHour
GMTOffset
AutoClosePositionsEndSession
13. Regime Detection (Trend/Range Detection)
RegimeTF
RegFastMA
RegSlowMA
RegATR
RegADX
TrendThresh
VolStop
14. Advanced AI (Multi-Objective Optimization)
AI_MemorySize
AI_RiskRewardWeight
AI_SharpeWeight
AI_DrawdownWeight
AI_WinRateWeight
AI_MultiTimeframeLearning
15. Dynamic TP/SL Calculation (Take Profit and Stop Loss)
UseDynamicStopLoss
UseDynamicTakeProfit
DefaultStopLossPips
DefaultTakeProfitPips
MinStopLossPips
MaxStopLossPips
MinTakeProfitPips
MaxTakeProfitPips
ATR_Period_TPSL
ATR_Multiplier_SL
ATR_Multiplier_TP
16. Trading Days
TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday
TradeSaturday, TradeSunday
17. Daily Reset
ResetLotDaily
ResetDrawdownDaily
18. Intelligent Neural TP/SL
UseNeuralTPSL
NeuralTPSL_Sensitivity
NeuralTPSL_MinConfidence
19. Early Neural Exit
UseNeuralExit
NeuralExit_Threshold
NeuralExit_ProtectProfit
NeuralExit_CheckInterval
20. Trailing Stop & Take Profit
UseTrailingStop
TrailingBasedOnProfit
TrailingProfitPercent
TrailingStopDistance
TrailingStepPips
UseTrailingTP
TrailingTP_DistancePips
TrailingActivateAtProfit
TrailingActivatePips
MinBrokerStopBufferPips
21. Multi-Index Correlation (v6.0)
UseCorrelationContext
CorrLookbackBars
CorrRecalcMinutes
CorrTimeframe1, CorrTimeframe2, CorrTimeframe3
22. Correlated Instruments Selection
Include_GBPUSD
Include_USDJPY
Include_USDCHF
Include_AUDUSD
Include_EURJPY
Include_DXY
Include_XAUUSD (Include_Gold)
Include_SPX500
Include_DAX
23. Contextual Filtering
UseContextFiltering
ContextConfidenceBoost
ContextConfidenceCut
BlockTradesOnBadContext
LotSize
MagicNumber
FractalShift
MaxConsecutiveLosses
2. Martingale (Progressive Lot Management)
EnableMartingale
MartingaleMultiplier
MaxLotMultiplier
ResetLotAfterWin
MaxMartingaleSteps
3. Debug Messages
DebugMessages
4. Multi-Trades (Simultaneous Trades)
EnableMultiTrades
MaxSimultaneousTrades
MinMinutesBetweenTrades
MaxTotalExposure
5. Neural Network (AI Core)
NN_HiddenNeurons
NN_LearningRate
NN_UseBackpropagation
NN_SpecializedNeurons
6. Adam Optimizer (Accelerated Learning)
UseAdamOptimizer
Adam_Beta1
Adam_Beta2
Adam_Epsilon
7. L2 Regularization (Anti-Overfitting)
UseL2Regularization
L2_Lambda
8. Attention Mechanism (Intelligent Focus)
UseAttentionMechanism
9. Drawdown Protection (Loss Protection)
MaxDrawdownPercent
MaxDrawdownMoney
EnableDrawdownProtection
10. Multi-Timeframe Filter (Multi-Period Filter)
EnableMultiTimeframeFilter
MTF_Higher1
MTF_Higher2
MTF_MaPeriod
MTF_MinAlignment
11. Moving Average
MaPeriod
MaTimeframe
MaMethod
MaPrice
12. Trading Hours
TradingStartHour
TradingEndHour
GMTOffset
AutoClosePositionsEndSession
13. Regime Detection (Trend/Range Detection)
RegimeTF
RegFastMA
RegSlowMA
RegATR
RegADX
TrendThresh
VolStop
14. Advanced AI (Multi-Objective Optimization)
AI_MemorySize
AI_RiskRewardWeight
AI_SharpeWeight
AI_DrawdownWeight
AI_WinRateWeight
AI_MultiTimeframeLearning
15. Dynamic TP/SL Calculation (Take Profit and Stop Loss)
UseDynamicStopLoss
UseDynamicTakeProfit
DefaultStopLossPips
DefaultTakeProfitPips
MinStopLossPips
MaxStopLossPips
MinTakeProfitPips
MaxTakeProfitPips
ATR_Period_TPSL
ATR_Multiplier_SL
ATR_Multiplier_TP
16. Trading Days
TradeMonday, TradeTuesday, TradeWednesday, TradeThursday, TradeFriday
TradeSaturday, TradeSunday
17. Daily Reset
ResetLotDaily
ResetDrawdownDaily
18. Intelligent Neural TP/SL
UseNeuralTPSL
NeuralTPSL_Sensitivity
NeuralTPSL_MinConfidence
19. Early Neural Exit
UseNeuralExit
NeuralExit_Threshold
NeuralExit_ProtectProfit
NeuralExit_CheckInterval
20. Trailing Stop & Take Profit
UseTrailingStop
TrailingBasedOnProfit
TrailingProfitPercent
TrailingStopDistance
TrailingStepPips
UseTrailingTP
TrailingTP_DistancePips
TrailingActivateAtProfit
TrailingActivatePips
MinBrokerStopBufferPips
21. Multi-Index Correlation (v6.0)
UseCorrelationContext
CorrLookbackBars
CorrRecalcMinutes
CorrTimeframe1, CorrTimeframe2, CorrTimeframe3
22. Correlated Instruments Selection
Include_GBPUSD
Include_USDJPY
Include_USDCHF
Include_AUDUSD
Include_EURJPY
Include_DXY
Include_XAUUSD (Include_Gold)
Include_SPX500
Include_DAX
23. Contextual Filtering
UseContextFiltering
ContextConfidenceBoost
ContextConfidenceCut
BlockTradesOnBadContext
Might be easier to just pin a .set file!
;-)
Might be easier to just pin a .set file!
;-)
bonjour merci pour votre EA , avez vous un fichier set