Quanta Star Signal
Quanta starSignal Configuration
Navigation
This page explains starSignal settings using an outcome-led framework. Parameters are grouped by their impact on live operation.
Configuration Philosophy
starSignal is designed for simple setup. In most cases, select TRADE_STYLE, set your risk limits and run without ongoing manual tuning.
A) Core Sizing and Scope Controls
-
TRADE_LIMIT
Base trade allocation control. -
MIN_VOLUME_TO_SELL
Minimum notional compliance control. -
IGNORE_TRADES_BEFORE
Limits historical trade context to a selected epoch.
B) Behaviour and Strategy Controls
-
TRADE_STYLE
Maps strategy cadence to style profile (scalper,dayTrader,swingTrader,positionTrader). -
MAX_CAPITAL_LIMIT
Defines how much capital can be used before soft-reduce becomes active. -
TREND_PROTECTION
Restricts behaviour when macro context is adverse.
C) Advanced Settings
-
BUY_ENABLEDandSELL_ENABLED
Side-level execution toggles. -
STOP_AFTER_FULL_SELL
Stops strategy after full liquidation state. -
BALANCE_OUTPUTandVERBOSE
Diagnostics and audit output controls.
Baseline Deployment Path
- Start with conservative
TRADE_LIMIT. - Validate minimum notional and timer behaviour.
- Keep compounding disabled until baseline is stable.
- Confirm BEP and partial-sell behaviour once.
- Enable compounding only if it matches your capital policy.
No parameter set guarantees outcomes; disciplined configuration improves consistency.
Next steps
Follow this path to compare strategy behaviour, validate results and activate licensing.
Related documentation
Continue through the Quanta Star Signal knowledge base.
Previous
Quanta starSignal Algorithm Metrics
Next
Quanta starSignal General FAQ