📊 Trading Signal Parameters (Enhanced) 🔐 Risk & Lot Control
Max Lot Size: 0.03-0.10 per $1,000 equity (hard-capped) Dynamic Risk Scaling: Auto-adjusts lot size based on: Equity growth Drawdown percentage Grid Distance: 100 pips (adaptive for volatility)
Multiplier: 1.0x → ❌ No aggressive martingale
🎯 Take Profit Logic Dynamic Take Profit (AI-assisted) Trailing TP: 5–10 pips
Adjusted by: ATR Spread conditions Market momentum strength Basket Close Option Closes all trades per pair when net profit target is reached
🤖 AI & Neural Network Logic (Core Upgrade) Neural Network Model Lightweight feedforward neural network (optimized for MT5)
Trained on: Price action patterns Volatility cycles Trend persistence vs mean reversion Inputs include: RSI slope ATR expansion EMA divergence Spread anomaly detection News-time volatility flags
AI Functions Entry probability scoring (0–1 scale) Trade filtering (only high-confidence setups executed) Adaptive grid spacing during high volatility Early exit detection to reduce drawdown ✅ No black-box overfitting ✅ Designed for consistency, not hype
Designed for: Prop firm rules Capital preservation Monthly Target: 3–5% Smart Grid Recovery Max 5 trades per pair AI decides whether recovery is allowed Time Filters Avoids low-liquidity sessions News Filter Auto-blocks entries before high-impact news Spread Filter Trades only when spread predefined threshold