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 This is table of optimal parameters for "Graalino" v.1.48 expert advisor.
 These numbers are obtained by carefull optimization and are valid for 2-3 months.
 All fields here are presented as strings, enclosed in quotation marks "", delimited by 
 comma, separated by space(s) or tab.

 Tab in this file is 3 spaces. Quotations around numbers are for visual purposes only. 
 Put numbers like these into parameter window in Metatrader MT4 without quotation "".

 Use this data as a basis for your own expert advisor's parameters presets in Metatrader 
 terminal MT4.

 At this time as of version 1.48 these parameters are to be entered into the expert MANUALLY 
 by F7 key or while putting expert on chart.

 .............................................................................
 This table's fields description:
 Name, Time_frame, Probe_Range_High, Probe_Range_Low, Tune_Steps, Open_Close_Treshold, 
 						Take_Profit, Stop_Loss, Type, Profit_factor obtained

................................/ Fields detailed description \.......................
 "Name": name of currency pair, or financial instrument, or stock, or spot commodity.
 
 "Time_Frame" : minutes of selected type of chart timeframe.

 "Range_High_Limit" : high limit of bars tested; there should be available bars of history on chart.
	Set it from 700 to 2200. Typical is between 800 ... 1600.

 "Range_Low_Limit" : low limit of bars tested; there should be available bars of history on chart.
	Set it from 100 to 300. Typical is 100.

 "Tune_Steps": steps (points) of inner tuning algorithm.
 	Can be  0..150. Typical is around 40...55.

 "Open_Close_Treshold" : parts_per_million of "trend"; can be 0... 900.
	 Set it from 50....to 200. Typical is 200.
 
 "Take_Profit" , "Stop_Loss" : pseudo-points, universal unit for all currency pairs;
 	These are NOT "points", as pre-defined by  your broker.
 	Normally Take_Profit is 2000 ... 4000, Stop_Loss is between 999 ... 1999.
	(Multiply it by 0.001%, and You will get Take_Profit and Stop_Loss in PERCENT of price).

	// next, optional: "FX" - type of financial instrument
	// next, optional: "Profit_Factor" obtained from back-testing
	// initial depo = 100K, broker=Alpari 

	"AUDNZD", 	"+15",	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"CADJPY", 	"+15", 	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"CHFJPY", 	"+15",	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"GBPJPY", 	"+15", 	"+2200", "+100",	"45",		"200", 	"1100", 	"900", 	"FX", "+1.5",
	"GBPSEK", 	"+15", 	"+2200",	"+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"NZDJPY", 	"+15", 	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"USDJPY", 	"+15",	"+2200", "+100",	"45",		"200", 	"1100", 	"900", 	"FX", "+1.5",

	//................./ METALS \.......................
	"GOLD", 		"+15", 	"+2200",	"+100",	"45",		"200", 	"1100", 	"900", 	"FX", "+1.5",
	"XAUUSD", 	"+15", 	"+2200",	"+100",	"45",		"200", 	"1100", 	"900", 	"FX", "+1.5",

	"XAGUSD", 	"+15",	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",
	"SILVER", 	"+15",	"+2200", "+100",	"45", 	"200", 	"1100", 	"900", 	"FX", "+1.5",


//\_______________________/ END OF THIS FILE \____________________________________/

