# ERMT PME v1.2 - Pure Management Edition ## Enhanced Risk Management Tool - Position Management Expert --- ## Table of Contents 1. [Introduction](#chapter-1-introduction) 2. [Quick Start Guide](#chapter-2-quick-start-guide) 3. [Core Features](#chapter-3-core-features) 4. [Phase Management System](#chapter-4-phase-management-system) 5. [Configuration Guide](#chapter-5-configuration-guide) 6. [Risk Management](#chapter-6-risk-management) 7. [Troubleshooting & FAQ](#chapter-7-troubleshooting--faq) 8. [Advanced Topics](#chapter-8-advanced-topics) --- ## Chapter 1: Introduction ### What is ERMT PME? ERMT PME (Enhanced Risk Management Tool - Pure Management Edition) is a professional-grade position management EA for MetaTrader 5. Unlike traditional EAs that open trades, ERMT PME focuses exclusively on **managing existing positions** to maximize profits and protect capital. ### Key Philosophy **"PME doesn't trade - it protects and maximizes"** The EA implements institutional-grade profit protection strategies that adapt to market conditions and position performance. It's designed to work alongside any trading strategy or EA, acting as an intelligent exit manager. ### What Makes PME Different? - **Pure Management**: Never opens new positions, only manages existing ones - **Universal Compatibility**: Works with any EA or manual trading strategy - **Adaptive Protection**: Phase-based system that evolves as profit grows - **Non-Intrusive**: Doesn't interfere with positions below profit thresholds - **Institutional Logic**: Built on proven professional trading principles ### Who Should Use PME? - **Manual Traders**: Add professional exit management to your setups - **EA Users**: Enhance any trading robot with superior profit protection - **Portfolio Managers**: Manage multiple positions with consistent rules - **Risk Managers**: Implement strict risk controls across all trading ### What PME Does ✅ **Protects Profits**: Locks in gains as positions develop ✅ **Manages Risk**: Enforces strict loss limits and drawdown controls ✅ **Maximizes Returns**: Adaptive trailing for trend-following positions ✅ **Partial Closures**: Banks profits while keeping runners active ✅ **Emergency Protection**: Automatically adds stops to unprotected positions ### What PME Doesn't Do ❌ Does not open new positions ❌ Does not predict market direction ❌ Does not guarantee profits ❌ Does not trade autonomously --- ## System Requirements ### Platform - **MetaTrader 5** (Build 3000 or higher) - **Account Type**: Any (ECN, Standard, Pro) - **Instruments**: All symbols supported ### Recommended Setup - **VPS**: Recommended for 24/7 operation - **Latency**: < 50ms to broker for optimal execution - **Balance**: Minimum $500 (or equivalent) for proper risk management ### Files Structure ``` MQL5/Experts/Advisors/ERMT_PMEx/ ├── ERMT_PME_1.2.mq5 # Main EA file ├── README.md # This file ├── Modules_PME/ │ ├── DataTypes_PME.mqh # Core data structures │ ├── Utilities_PME.mqh # Utility functions │ ├── RiskManager_PME.mqh # Risk management │ ├── TechnicalAnalysis_PME_Merged.mqh # Market analysis │ ├── PositionManager_PME_Complete.mqh # Position handling │ └── ProfitMaximizer_PME.mqh # Phase management └── Guides/ └── [Documentation files] ``` --- ## Version History ### v1.2 (Current) - ✨ Fixed critical phase lock calculation bug - ✨ Added PHASE_INITIAL protection (positions < 40pts untouched) - ✨ Improved breathing room calculation for better profit protection - ✨ Fixed file writing errors with filename sanitization - ✨ Enhanced debug logging for phase calculations - 🐛 Fixed entry price unit mismatch - 🐛 Fixed premature position closures ### v1.1 - Phase-based profit management system - Progressive profit locking - Multi-level partial closures - Session-based adjustments ### v1.0 - Initial release - Basic breakeven and trailing stop - Emergency stop management - Risk limit enforcement --- ## License & Disclaimer ### Copyright © 2024 ERMT Trading Systems. All rights reserved. ### Disclaimer Trading foreign exchange and contracts for difference on margin carries a high level of risk and may not be suitable for all investors. Past performance is not indicative of future results. This EA is provided as-is without any guarantees. Always test on a demo account before live trading. ### Usage Terms - ✅ Personal use: Unlimited - ✅ Demo/Practice accounts: Unlimited - ❌ Redistribution: Not permitted - ❌ Commercial resale: Not permitted - ⚠️ Modification: At your own risk --- ## Chapter 2: Quick Start Guide ### Installation (5 Minutes) #### Step 1: Copy Files 1. Locate your MetaTrader 5 data folder: - Open MT5 → File → Open Data Folder - Navigate to `MQL5/Experts/Advisors/` 2. Copy the entire `ERMT_PMEx` folder here #### Step 2: Compile 1. Open MetaEditor (F4 in MT5) 2. Find `ERMT_PMEx/ERMT_PME_1.2.mq5` in Navigator 3. Double-click to open 4. Press F7 to compile 5. Check for "0 errors" in the Toolbox #### Step 3: Attach to Chart 1. Open any chart in MT5 (symbol doesn't matter - PME manages all positions) 2. Drag `ERMT_PME_1.2` from Navigator onto the chart 3. Enable "Allow Algo Trading" when prompted 4. Click OK **Congratulations!** PME is now active and monitoring your positions. --- ### First-Time Setup (Recommended Settings) When you first attach PME, use these conservative settings: #### Essential Settings ``` === Management Control === Manage all positions: true Magic Filter: 0 (manages all trades) === Risk Protection === Max Loss Per Trade: 5.0% Max Daily Loss: 20.0% Max Drawdown: 25.0% === Phase Management === Enable Phase Management: true Phase 1 Trigger: 40 points Phase 2 Trigger: 60 points Phase 3 Trigger: 100 points Phase 4 Trigger: 200 points Phase 5 Trigger: 400 points ``` **Leave everything else at defaults for now.** --- ### Your First Managed Trade #### Scenario: Manual Long Trade 1. **Open a position manually**: Buy 0.1 lot EURUSD 2. **PME detects it**: Check Experts tab for confirmation 3. **Watch the magic happen**: - Position < 40 pts profit: PME monitors but doesn't interfere - Position reaches 40 pts: PME enters PHASE_PROTECTION - Position reaches 60 pts: Advances to PHASE_ACCUMULATION - And so on... #### What You'll See in Logs ``` [INFO] PME [#123456] Position registered - 0.10 lots @ 1.08500 [INFO] Position #123456 in PHASE_INITIAL (35.0 pts) - no phase lock applied [INFO] Position #123456 transitioning from Initial to Protection (Peak: 42.0, Current: 41.0) [INFO] Applied phase lock for #123456: Phase Protection lock: 10.0 pts (was 0.0 pts) ``` --- ### Understanding the Dashboard When `Show Dashboard` is enabled, you'll see a status panel: ``` ═══════════════════════ ERMT PME v1.2 ───────────────────── STATUS Active: 3 Closed: 12 ───────────────────── RISK Exposure: 250.75 Drawdown: 3.2% ───────────────────── MANAGEMENT Breakevens: 8 Trails: 15 Partials: 6 ───────────────────── PERFORMANCE Saved: $487.50 Captured: $1,245.00 Efficiency: 78.5% ═══════════════════════ ``` #### Dashboard Elements Explained - **Active**: Positions currently being managed - **Closed**: Positions PME has closed this session - **Exposure**: Total risk in open positions - **Drawdown**: Current account drawdown from peak - **Breakevens**: Times breakeven was applied - **Trails**: Active trailing stops - **Partials**: Partial closures executed - **Saved**: Loss prevented by early exits - **Captured**: Extra profit from trailing - **Efficiency**: Overall management effectiveness (%) --- ### Common First-Time Questions **Q: Why isn't PME doing anything?** A: Check that: - Position profit is at least 40 points (Phase 1 trigger) - "Allow Algo Trading" is enabled (button in toolbar) - Position matches your Magic Filter (if set) **Q: Can I use PME with my existing EA?** A: Yes! PME is designed to work alongside any EA. Just ensure your EA doesn't constantly modify stops, as this may conflict. **Q: Will PME close my positions immediately?** A: No. PME only intervenes when profit thresholds are reached. It won't touch positions in PHASE_INITIAL (< 40 points). **Q: What if I want to manually close a position?** A: Go ahead! PME won't interfere with manual closures. It simply removes the position from its tracking. **Q: Can I change settings while PME is running?** A: Yes, but you'll need to remove and re-attach the EA to the chart for changes to take effect. --- ### Next Steps Now that PME is running, explore: - [Core Features](#chapter-3-core-features) - Learn what PME can do - [Phase Management System](#chapter-4-phase-management-system) - Understand the adaptive logic - [Configuration Guide](#chapter-5-configuration-guide) - Fine-tune for your strategy --- ## Chapter 3: Core Features ### Feature Overview PME implements six major management systems that work together to protect and maximize your positions: 1. **Phase Management** - Adaptive profit protection that evolves with your position 2. **Profit Locking** - Progressive locks that secure gains as profit grows 3. **Partial Closures** - Bank profits while keeping runners for big moves 4. **Trailing Stops** - Dynamic trailing based on ATR and momentum 5. **Risk Management** - Strict enforcement of loss and drawdown limits 6. **Emergency Protection** - Automatic stop-loss for unprotected positions --- ### 1. Phase Management System #### The Six Profit Phases Your position evolves through six distinct phases as profit grows: | Phase | Profit Range | Management Strategy | Lock Level | |-------|-------------|---------------------|------------| | **INITIAL** | 0-39 pts | Hands-off monitoring | None | | **PROTECTION** | 40-59 pts | Apply first lock | 10 pts min | | **ACCUMULATION** | 60-99 pts | Start trailing | 25 pts min | | **MAXIMIZATION** | 100-199 pts | Active management | 50 pts min | | **RUNNER** | 200-399 pts | Wide trailing | 100 pts min | | **EXTREME** | 400+ pts | Maximum protection | 200 pts min | #### Phase Transition Logic ``` Position opens at 1.0850 (Long) ├─ Price 1.0880 (+30 pts) → INITIAL: PME monitors, no action ├─ Price 1.0892 (+42 pts) → PROTECTION: Lock 10pts (SL @ 1.0860) ├─ Price 1.0915 (+65 pts) → ACCUMULATION: Lock 25pts (SL @ 1.0875) ├─ Price 1.0955 (+105 pts) → MAXIMIZATION: Lock 50pts (SL @ 1.0900) ├─ Price 1.1055 (+205 pts) → RUNNER: Lock 100pts (SL @ 1.0950) └─ Price 1.1255 (+405 pts) → EXTREME: Lock 200pts (SL @ 1.1050) ``` **Key Feature**: If profit retraces to a lower phase, PME maintains the highest lock achieved (retreat protection). --- ### 2. Profit Locking #### How Locks Work Profit locks are **minimum guaranteed profit levels**. Once a lock is set, your SL will never be moved below that level. #### Lock Calculation Formula ``` Base Lock = Minimum for current phase (10, 25, 50, 100, or 200 pts) Progressive Lock = (Peak Profit - Base) × Lock Percentage Total Lock = Base Lock + Progressive Lock Breathing Room = Allow 50% retracement from peak Effective Lock = MAX(Total Lock, Peak × 50%) ``` #### Example ``` Position reaches +80 points (ACCUMULATION phase) ├─ Base Lock: 25 points (phase minimum) ├─ Peak Profit: 80 points ├─ Progressive Lock: (80 - 25) × 40% = 22 points ├─ Total Lock: 25 + 22 = 47 points ├─ Breathing Room: 80 × 50% = 40 points └─ Effective Lock: MAX(47, 40) = 47 points → SL set at Entry + 47 points ``` #### Progressive Lock Percentages - PROTECTION: Lock 30% of excess profit - ACCUMULATION: Lock 40% of excess profit - MAXIMIZATION: Lock 50% of excess profit - RUNNER: Lock 60% of excess profit - EXTREME: Lock 70% of excess profit --- ### 3. Partial Closures #### Multi-Level Banking Strategy PME can close portions of your position at profit milestones, banking gains while keeping runners active. #### Default Partial Close Levels | Level | Trigger | Close % | Example (1.0 lot) | |-------|---------|---------|-------------------| | **1** | 50 pts | 20% | Close 0.2, Keep 0.8 | | **2** | 100 pts | 20% | Close 0.2, Keep 0.6 | | **3** | 200 pts | 25% | Close 0.25, Keep 0.35 | | **4** | 400 pts | 20% | Close 0.2, Keep 0.15 | **Total**: 85% taken as profit, 15% kept as final runner #### Dynamic Adjustment Partial percentages adapt to market conditions: - **Strong Momentum**: Close less (keep more for the trend) - **Weak Momentum**: Close more (bank profits quickly) - **High Volatility**: Close less (give room for volatility) #### Example Scenario ``` Open: 1.0 lot EURUSD Long @ 1.0850 ├─ +50 pts (1.0900): Close 0.2 lots → Bank $200, Keep 0.8 lots ├─ +100 pts (1.0950): Close 0.2 lots → Bank $400, Keep 0.6 lots ├─ +200 pts (1.1050): Close 0.25 lots → Bank $1000, Keep 0.35 lots └─ +400 pts (1.1250): Close 0.2 lots → Bank $2400, Keep 0.15 lots Total Banked: $4000 | Runner Value: $600 (if closes at +400) ``` --- ### 4. Trailing Stop System #### ATR-Based Trailing PME uses Average True Range (ATR) to dynamically adjust trailing distance based on market volatility. #### Trailing Distance by Phase | Phase | Base Distance | With High Volatility | |-------|--------------|---------------------| | PROTECTION | 2.5 × ATR | 3.0 × ATR | | ACCUMULATION | 2.0 × ATR | 2.4 × ATR | | MAXIMIZATION | 1.5 × ATR | 1.8 × ATR | | RUNNER | 3.0 × ATR | 3.6 × ATR | | EXTREME | 4.0 × ATR | 4.8 × ATR | #### Adaptive Features - **Momentum Detection**: Wider trails in strong trends - **Volatility Adjustment**: Automatically compensates for volatile markets - **Step System**: Only moves SL when price advances by minimum step (15 pts default) #### Example ``` EURUSD @ +120 pts profit (MAXIMIZATION phase) ATR = 20 pips Volatility = Normal Trail Distance: 1.5 × 20 = 30 pips Current Price: 1.0970 SL: 1.0970 - 0.0030 = 1.0940 Price moves to 1.0990 (+20 pips) → SL advances to 1.0960 (maintaining 30 pip distance) ``` --- ### 5. Risk Management #### Three-Level Protection **1. Per-Trade Risk** (Default: 5%) - Maximum loss allowed on any single position - Enforced by emergency stop-loss if position lacks SL - Example: $10,000 account → Max $500 loss per trade **2. Daily Loss Limit** (Default: 20%) - Maximum cumulative loss allowed in one day - Closes all positions if breached - Resets at midnight broker time **3. Maximum Drawdown** (Default: 25%) - Maximum peak-to-valley decline allowed - Closes all positions and halts trading if breached - Requires manual reset #### Emergency Stop System If PME detects a position without a stop-loss: ``` 1. Calculate appropriate SL based on ATR (7× multiplier by default) 2. Apply emergency SL immediately 3. Log warning in Experts tab 4. Sound alert (if enabled) ``` #### Risk Limit Actions ``` Scenario: Daily Loss Limit Reached [WARNING] Daily loss limit reached: 20.5% [ACTION] Closing all positions (EXIT_RISK) [INFO] Position #123456 closed @ 1.0875 (-$150) [INFO] Position #789012 closed @ 1.2450 (-$200) [ALERT] Daily loss limit triggered! ``` --- ### 6. Session-Based Management #### Trading Session Adjustments PME recognizes three major trading sessions and adjusts management: | Session | Time (UTC) | Trail Multiplier | Partial Multiplier | |---------|-----------|------------------|-------------------| | **Asian** | 00:00-08:00 | 1.2× (wider) | 1.5× (less frequent) | | **London** | 08:00-16:00 | 1.0× (standard) | 1.0× (standard) | | **New York** | 13:00-21:00 | 0.9× (tighter) | 0.8× (more frequent) | #### Rationale - **Asian**: Lower volatility → wider stops to avoid whipsaws - **London**: Standard volatility → normal management - **New York**: High volatility + trends → tighter stops, faster banking --- ### Feature Interaction All features work together harmoniously: ``` Position Flow Example: Open Long @ 1.0850 ↓ +30 pts → INITIAL: PME monitors silently ↓ +45 pts → PROTECTION: Lock 10pts, Start light trailing ↓ +70 pts → ACCUMULATION: Lock 25pts, Tighten trail ↓ +80 pts → RUNNER CREATED: Close 20% @ +50pts trigger (banked $200) ↓ +110 pts → MAXIMIZATION: Lock 50pts, Active trailing, Second partial @ +100pts ↓ Retraces to +95 pts → Lock maintained at 50pts (retreat protection) ↓ Rallies to +220 pts → RUNNER: Lock 100pts, Wide trail for runner portion ↓ +410 pts → EXTREME: Lock 200pts, Ultra-wide protection, Final partial ↓ Reverses and hits SL @ +200pts → Exit with 200pt profit locked in ``` --- ## Chapter 4: Phase Management System For a comprehensive deep-dive into the Phase Management System, including detailed lock calculations, phase transitions, and retreat protection, see: **📖 [Chapter 4: Phase Management System (Full Guide)](README_Chapter4_PhaseManagement.md)** ### Quick Reference **Phase Progression**: ``` INITIAL (0-39pts) → PROTECTION (40-59pts) → ACCUMULATION (60-99pts) → MAXIMIZATION (100-199pts) → RUNNER (200-399pts) → EXTREME (400+pts) ``` **Key Concepts**: - **Forward Transition**: Advancing to higher phase locks more profit - **Retreat Protection**: Maintains highest lock achieved, never downgrades - **Progressive Locking**: Lock percentage increases with phase - **Breathing Room**: Allows retracement from peak before SL hits **Lock Minimums by Phase**: - INITIAL: None (0 pts) - PROTECTION: 10 pts - ACCUMULATION: 25 pts - MAXIMIZATION: 50 pts - RUNNER: 100 pts - EXTREME: 200 pts --- ## Chapter 5: Configuration Guide For complete parameter documentation with recommendations and examples, see: **📖 [Chapter 5: Configuration Guide (Complete Reference)](README_Chapter5_Configuration.md)** ### Configuration Categories 1. **Management Control**: Magic filter, management modes 2. **Phase Triggers**: When each phase activates 3. **Risk Protection**: Loss limits and drawdown controls 4. **Emergency Stops**: Automatic protection for naked positions 5. **Trailing Stops**: ATR-based adaptive trailing 6. **Partial Closures**: Multi-level profit banking 7. **Time/Session Filters**: Time-based adjustments 8. **Display & System**: Dashboard, logging, alerts ### Quick Setup Presets **Conservative Trader**: ``` Max Loss/Trade: 2% Phase 1 Trigger: 50 pts Breathing Room: 60% Trailing: Wide (High Multipliers) ``` **Balanced Trader** (Recommended): ``` Max Loss/Trade: 5% Phase 1 Trigger: 40 pts Breathing Room: 50% Trailing: ATR Adaptive ``` **Aggressive Trader**: ``` Max Loss/Trade: 8% Phase 1 Trigger: 30 pts Breathing Room: 40% Trailing: Tight (Low Multipliers) ``` --- ## Chapter 6: Risk Management ### Risk Protection Layers **Layer 1: Per-Trade Risk** - Default: 5% max loss per position - Enforced via emergency stops - Prevents catastrophic single-trade losses **Layer 2: Daily Loss Limit** - Default: 20% max daily loss - Auto-closes all positions if breached - Prevents emotional "revenge trading" **Layer 3: Maximum Drawdown** - Default: 25% max peak-to-valley decline - Emergency shutdown + trading halt - Final circuit breaker ### Risk Metrics Dashboard Monitor these daily: - **Current Exposure**: Total capital at risk - **Drawdown**: Current vs peak equity - **Active Positions**: Number of open positions - **Correlation**: Related positions risk ### Risk Management Best Practices 1. **Never risk more than 2% per trade** (conservative) 2. **Set daily loss limit at 3-5× per-trade risk** 3. **Maximum drawdown should not exceed 30%** 4. **Review risk settings monthly** 5. **Increase limits gradually, decrease immediately** --- ## Chapter 7: Troubleshooting & FAQ For complete troubleshooting guide and frequently asked questions, see: **📖 [Chapter 7: Troubleshooting & FAQ (Full Guide)](README_Chapter6_Troubleshooting.md)** ### Common Issues Quick Fix **PME Not Working?** 1. Check "Allow Algo Trading" is enabled 2. Verify position profit ≥ 40 points 3. Confirm Magic Filter = 0 (or matches position) 4. Check Experts tab for errors **Premature Closures?** 1. Increase Phase 1 Trigger (40 → 50 pts) 2. Increase Breathing Room (50% → 60%) 3. Switch to TRAIL_ATR method 4. Check for conflicting EAs **Partials Not Executing?** 1. Verify InpPartialEnabled = true 2. Check minimum position size (0.05+ lots) 3. Test manual partial close (broker support) 4. Review trigger thresholds **Dashboard Missing?** 1. Press F5 to refresh chart 2. Check dashboard coordinates (X/Y) 3. Remove and re-attach EA 4. Recompile in MetaEditor ### FAQ Highlights **Q: Will PME conflict with my EA?** A: Only if your EA constantly adjusts stops. Use Magic Filter to separate. **Q: Best Phase 1 Trigger setting?** A: 40 pts standard, 30 pts scalping, 60 pts swing trading **Q: Should I disable breakeven?** A: Yes. Phase Management provides superior protection. **Q: Can PME backtest?** A: Limited support. Use forward testing or demo accounts. --- ## Chapter 8: Advanced Topics ### Multi-Instance Setup Running multiple PME instances for different strategies: ``` Chart 1: PME Instance #1 ├─ InpMagicFilter: 1001 └─ Manages: Scalping EA positions Chart 2: PME Instance #2 ├─ InpMagicFilter: 2001 └─ Manages: Swing trading positions Chart 3: PME Instance #3 ├─ InpMagicFilter: 0 └─ Manages: Manual trades (no magic) ``` ### Performance Metrics **Management Efficiency Formula**: ``` Efficiency = (Profit Captured + Loss Prevented) / Total Opportunity × 100 Where: ├─ Profit Captured: Extra profit from trailing vs. fixed TP ├─ Loss Prevented: Losses avoided by early exits └─ Total Opportunity: Max possible profit (all peaks) 60-70%: Good 70-80%: Excellent 80%+: Outstanding ``` ### Integration Examples **With Galileo FX**: ``` 1. Install Galileo FX (trading EA) 2. Install PME on any chart 3. Galileo opens positions 4. PME detects and manages them 5. No settings conflicts - they work independently ``` **With Manual Trading**: ``` 1. Attach PME to main chart 2. Set InpMagicFilter = 0 3. Open positions manually 4. PME takes over once profit ≥ Phase 1 Trigger 5. Monitor dashboard for phase progression ``` ### Custom Development PME is modular. Key files for customization: - **DataTypes_PME.mqh**: Add new data structures - **ProfitMaximizer_PME.mqh**: Modify phase logic - **PositionManager_PME_Complete.mqh**: Change management behavior - **ERMT_PME_1.2.mq5**: Adjust main flow ⚠️ **Warning**: Modifications void support. Always backup original files. --- ## Final Notes ### Success with PME PME is a tool, not a magic solution. Success requires: 1. **Solid Trading Strategy**: PME enhances good strategies, doesn't fix bad ones 2. **Patience**: Let the phase system work, don't micro-manage 3. **Discipline**: Trust the math, respect risk limits 4. **Monitoring**: Review performance weekly, adjust quarterly 5. **Education**: Understand how PME works before going live ### Support & Updates - **Documentation**: Start here, read all chapters - **Updates**: Check GitHub releases monthly - **Issues**: Report bugs with detailed logs - **Community**: Share experiences, learn from others --- ## Summary Checklist Before going live with PME: - [ ] Tested on demo for at least 2 weeks - [ ] Read all documentation chapters - [ ] Understand phase management system - [ ] Configured risk limits appropriately - [ ] Verified compatibility with trading EA - [ ] Dashboard displaying correctly - [ ] Logs showing expected behavior - [ ] Emergency stops tested and working - [ ] Partial closures executing (if enabled) - [ ] Risk limits tested (on demo!) --- ## Acknowledgments ERMT PME builds on years of professional trading experience and incorporates institutional-grade risk management principles. Thanks to all beta testers and early adopters who provided feedback. Special recognition: - Institutional traders who shared profit protection strategies - MetaTrader community for MQL5 resources - Early adopters who identified and reported bugs --- ## Contact & Support **Bug Reports**: GitHub Issues **Feature Requests**: GitHub Discussions **Documentation**: This README + Chapter files **Version**: 1.2 **Last Updated**: November 2024 **Status**: Production Ready --- **🎯 Ready to start? Go to**: [Chapter 2: Quick Start Guide](#chapter-2-quick-start-guide) **📚 Deep dive? Explore**: - [Chapter 4: Phase Management](README_Chapter4_PhaseManagement.md) - [Chapter 5: Configuration](README_Chapter5_Configuration.md) - [Chapter 7: Troubleshooting](README_Chapter6_Troubleshooting.md)