Running and maintaining Hive in production.
For traders and small funds using Hive. Covers the regime-detection framework, adaptive parameter methodology, drawdown-aware sizing, and the operational discipline needed to keep an adaptive system honest.
Trending, ranging, high-volatility, and crisis — the four labels Hive assigns and how they are measured.
The 200-bar window, why we tune slowly, and the guardrails that prevent chasing noise.
How Hive reduces exposure inside a drawdown and the recovery arithmetic you should verify yourself.
Every metric the EA prints on the chart, what it means, and when it should worry you.
The trap: adaptive systems look great in-sample. The methodology to catch that.
VPS selection, latency budgets, monitoring alerts, and the disaster-recovery checklist.
Monthly review template, when to pause, and the two conditions that mean stop trading.