Operator choice to add aggression while keeping the hold-for-big-moves
design intact:
- Leverage 5x -> 10x: a wide -5% stop is now -50% of margin — still
survivable, not an instant liquidation (that needed 20x).
- Per-position notional 2.5x -> 5x equity; 2 positions = 10x total
account notional (full margin at 10x, ~10% liquidation cushion).
- Stops/targets, throttle, min-hold and noise-band settings unchanged:
same wide (-5% / +10-12%) exits, doubled exposure.
Live strategy in data/data.db updated to match (lev=10, ratio=5.0).