Are the Margin & Risk sliders designed to be "set and forget"? (They seem to always initialize to 50 & 10 at the start of trading...) Or does the strategy adapt to them being changed whenever one want(s), as frequently as one wants?

Is increasing them somewhat (or to the limits) just a question of risk/reward/comfort/ulcers? Or do changes in these sliders affect the strategy algorithms in some way(s)?