My Expectations/Specifications: 1. The EA should be prop firm friendly 2. EA should work across time frames and multiple instruments where the settings works the best 3. Directional strategy bias to take up high probability trades 4. High Risk to Reward Ratio. Maximum Returns on the Risk of Per Dollar 5. Once Done again review and see what improvements can be done 6. Improve the strategy and code and make it robust if additional feature or layer needs to be implemented. 7. Improve the EA, Do deep optimization and suggest right setting and time frame and specific instruments 8. I want to use the EA on real account with 500 USD so the risk management should be accordingly. 9. I want pin point entry and exits with risk management and high risk to reward ratio 10.It may work as scalper in lower time frame but I want this EA to work Intraday (H1/H4 confluence with M15) whatever works better. 11.I want to open very few but quality trades with high Risk to Reward Ratio 12.BackTest the Optimized Settings with 100% History Quality Backtesting and Walk Forward Testing to ensure the Optimized Settings really works well in last 2-5 years of Testing excluding/including back & forward testing. 13.If settings needs to be changed or strategy can be improved to make it highly performance oriented then you are free to do so 14.I want the EA to be fractal to be used in all time frames but of course better settings for high performance is preferred- But this is optional 15.Regular updates on the settings and instruments