Henri Joel Biock-soares
Henri Joel Biock-soares
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Henri Joel Biock-soares
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).
Henri Joel Biock-soares 출시돈 제품

Fractal Adaptive AI v6.0 RÉEL - Trading neuronal multi-indices Description courte Robot de trading neuronal avec analyse de plus de 8 instruments. Réseau neuronal adaptatif à 14 caractéristiques. Compatible FTMO.  Description complète Conseiller expert professionnel basé sur l'IA pour la paire EUR/USD M15 Fractal Adaptive AI v6.0 REAL est un système de trading automatisé utilisant des réseaux neuronaux avancés avec une analyse contextuelle multi-indices pour détecter les meilleures

Henri Joel Biock-soares
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