I have discovered that parameter istirahat is one of the most important MM strategy parameter on the EA ...Also beside of this the Take pofit equity and close positions operation parameter is very useful together with the lot exponent..The very main strategy on this EA is to know your limits before going live because on a longer run without stopping the EA it can start from 0.01 and can and up on a size of 1 lot positions and catch a MC because of the size of your open positions...You have to limit your greedy attempt and build it on a safe ground...Also beside parameters you have to discover the effect of all TF, this EA is safer in higher TF, maybe a bit slower but surely safer, so I would go on m5 or m15, but clearly I know also that on some pairs H1 is better...my only very strong concern on this EA is the very bad day with a very strong trend direction, this EA is opening positions marti on one side and has no hedge function to recover from the loss side...