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#Gate广场AI测评官 Gate AI Common Strategy Parameters Universal Template | Direct Live Trading Application
Compiled core templates for three major scenarios—spot grid, futures strategy, and AI quantitative trading—covering volatile, trending, and bear market conditions. Simply copy parameters into Gate AI to launch quickly!
I. Spot Grid Template (Core: Steady profit from price fluctuations)
Suitable for BTC/ETH/major altcoins, low risk, fully automated operation, ideal for beginners
1. Ultra AI Quick Start Template (Beginner-friendly)
Parameter Item | Suggested Value | Applicable Scenario
Investment Amount | 500-2000 USDT (per coin) | Control risk, avoid excessive capital allocation
Grid Density | Medium (AI auto-recommended) | Adapt to current market volatility
Leverage | None (spot 1x) | Beginners avoid leverage risk
Take Profit Ratio | 1.5%-3% | Small frequent trades, accumulate gains
Global Stop Loss | -10% | Forced stop if support level breaks
Running Cycle | 7-15 days (short-term) / 30+ days (long-term) | Short-term catch waves, long-term compound returns
2. Classic Linear/Proportional Grid Template (Advanced customization)
Volatile Market (ETH Focus)
- Grid Count: 20-30 grids
- Grid Interval: 1.5%-2.5%
- Capital Allocation: Equal allocation (linear) / Increased on dips (proportional)
- Take Profit: 2%, Stop Loss: -8%
Bear Market (BTC Focus)
- Grid Count: 10-15 grids
- Grid Interval: 3%-5%
- Capital Allocation: Proportional (double allocation per grid on decline)
- Take Profit: 1.5%, Stop Loss: -12% (strict risk control)
II. Futures AI Strategy Template (Core: Capture trends + control risk)
Suitable for short-term waves, trending markets, must enable risk controls to avoid liquidation
1. AI Trend-Following Strategy (Mainstream Futures)
Parameter Item | Suggested Value | Risk Control Point
Trend Period | 4-hour (mainstream) / 1-day (waves) | Adapt to trading rhythm
Entry Condition | AI breakout above MA + volume confirmation | Avoid false breakout entry
Leverage | 3-5x (beginners) / 5-10x (advanced) | Never exceed 10x
Take Profit Ratio | 5%-10% (short-term) / 15%-20% (waves) | Take profits timely, avoid greed
Stop Loss Ratio | -3% (short-term) / -5% (waves) | Single loss not exceeding 2% of capital
Add Position Rule | AI signal confirmed + profit scaling | No adding on losses, avoid deeper drawdown
2. Volatile Futures Grid (Small cap altcoins)
- Grid Count: 15-20 grids
- Grid Interval: 2%-3%
- Leverage: 2-3x (strict control)
- Take Profit: 3%, Stop Loss: -6%
- Applicable Cycle: 3-7 days, avoid long-term holding
III. AI Quantitative Workstation Template (Core: Generate strategy with one sentence)
Don't code? Copy instructions directly, AI auto-generates backtest reports + live trading strategy
1. Universal Strategy Instruction Template
Oscillation Low-Buy High-Sell (BTC applicable)
"BTC currently oscillates between 60000-68000. Design 25-grid proportional grid, initial investment 1000 USDT, add 10% position every 2% dip, take profit 2% per grid, global stop loss -10%, backtest recent 90-day historical data, generate live-trading-ready strategy."
Trend-Chasing Strategy (ETH applicable)
"ETH in uptrend, use 4-hour timeframe, enter when K-line breaks 20-day MA with 30% volume increase, set 5x leverage, take profit 8%, stop loss -4%, scale up 20% on profit, no scaling on loss, backtest recent 60-day data, output strategy report."
2. Year-of-Horse Market-Specific Strategy Instructions
Adapting to macro events, geopolitics + precious metals + crypto market correlation:
"Considering recent geopolitical impacts on gold and crude, design BTC correlation strategy: when gold breaks $2800/oz or crude breaks $85/barrel, enter BTC long simultaneously, 3x leverage, take profit 12%, stop loss -6%; when gold breaks $2600/oz, go short on BTC, take profit 10%, stop loss -5%, backtest recent 180-day data, generate complete quantitative strategy."
IV. Coin-Specific Parameter Reference Table
Coin | Grid Type | Grid Interval | Leverage | Take Profit | Stop Loss | Applicable Cycle
BTC (Bitcoin) | Proportional grid/trend strategy | 1.5%-3% | 0-5x | 2%-10% | -8%-10% | 30+ days (long-term)
ETH (Ethereum) | Linear grid/wave strategy | 1.5%-2.5% | 0-5x | 2%-8% | -6%-8% | 7-15 days (waves)
Mainstream Altcoins (SOL/ARB) | Small-cap grid | 2%-3% | 0-3x | 3%-5% | -6% | 3-7 days (short-term)
Micro Altcoins | Grid not recommended | - | 0x | - | - | Manual short-term only
V. Key Risk-Avoidance Parameters (Must follow)
1. Capital Allocation: Single strategy not exceeding 30% of total position, avoid full-position operation
2. Risk Control: All strategies must enable global stop loss, beginners prohibited from naked positions and high leverage
3. Cycle Matching: Short-term strategies not exceeding 15 days, long-term strategies avoid frequent parameter adjustments
4. Coin Selection: Grid/quantitative prioritize BTC, ETH and high-liquidity coins, small altcoins only for small-cap testing!