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chore: 更新 .env.example 文件,调整风险管理参数以优化交易策略
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@@ -10,11 +10,11 @@ TRADE_SYMBOL=BTCUSDT # Trading pair symbol
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TRADE_AMOUNT=0.001 # Base order quantity (base asset, e.g. BTC)
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# Risk management (USD amounts unless noted)
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LOSS_LIMIT=0.03 # Max loss per trade in USDT before forced close
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LOSS_LIMIT=0.04 # Max loss per trade in USDT before forced close
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TRAILING_PROFIT=0.2 # Trailing stop activation profit (USDT)
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TRAILING_CALLBACK_RATE=0.2 # Trailing callback percent (e.g. 0.2 => 0.2%)
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PROFIT_LOCK_TRIGGER_USD=0.1 # Start moving base stop once unrealized PnL > this (USDT)
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PROFIT_LOCK_OFFSET_USD=0.05 # Base stop offset from entry after trigger (USDT)
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PROFIT_LOCK_TRIGGER_USD=0.08 # Start moving base stop once unrealized PnL > this (USDT)
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PROFIT_LOCK_OFFSET_USD=0.04 # Base stop offset from entry after trigger (USDT)
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BOLLINGER_LENGTH=20 # SMA window (minutes) used for Bollinger bandwidth
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BOLLINGER_STD_MULTIPLIER=2 # Standard deviation multiplier for Bollinger bands
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MIN_BOLLINGER_BANDWIDTH=0.001 # Require bandwidth >= this ratio before new entries
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