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【SY】AI量化指标

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Strategy Description

This strategy is designed to capture market momentum through structured price behavior and dynamic risk management. It seeks to identify moments when the market transitions between accumulation and expansion phases, entering positions that align with the prevailing directional bias.

The approach prioritizes disciplined execution, precise trade timing, and consistent risk-to-reward balance. Position management follows a clear set of predefined conditions to reduce emotional interference and enhance long-term performance stability.

Emphasis is placed on adaptability rather than prediction — the strategy reacts to changing market structure, allowing profits to grow while protecting capital through controlled exit conditions. It performs best in trending or transitional environments where volatility supports directional continuation.

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