不追求單一『最優參數』,因為最優往往是過度擬合的陷阱。本系統採用多維參數融合技術,將不同週期的市場邏輯進行對沖。這使我們在平庸行情中保持穩健,在極端行情中依靠參數間的自補償效應實現生存。
Edited 01 Mar 2026, 17:29
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