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Quanta Star Signal

Quanta starSignal Configuration

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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_ENABLED and SELL_ENABLED
    Side-level execution toggles.

  • STOP_AFTER_FULL_SELL
    Stops strategy after full liquidation state.

  • BALANCE_OUTPUT and VERBOSE
    Diagnostics and audit output controls.

Baseline Deployment Path

  1. Start with conservative TRADE_LIMIT.
  2. Validate minimum notional and timer behaviour.
  3. Keep compounding disabled until baseline is stable.
  4. Confirm BEP and partial-sell behaviour once.
  5. 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.

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Quanta starSignal Algorithm Metrics

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Quanta starSignal General FAQ

Last updated 10 February 2026
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