Portfolio margin mode: cross-margin trading (Risk Unit Merge)
This metric is commonly used to project the risk or fluctuation in value of assets when calculating margin requirements or risk exposure, particularly over different time horizons. Underlying asset Annualized move risk BTC, ETH 5.00% SOL, DOGE, PEPE, XRP, BNB, SHIB, LTC, ORDI, WLD, BCH, ADA 15.00% Others 30.00% Note: We have changed the assets in tier 2. Note that assets in tier 2 used to be LTC, BCH, EOS, DOT, BSV, LINK, FI, ADA, TRX, UNI, XRP. 3.
Date de publication : 3 déc. 2024Date de mise à jour : 4 déc. 2025Documentation produit