Portfolio margin mode: cross-margin trading (Risk Unit Merge)
For example, the system will liquidate positions tier by tier until the account is back to a safe level.Appendix: margin calculations Note that all the parameters listed below are subject to change based on the market.MR1: spot shock A spot shock scenario includes market simulations of increasing or decreasing the price of the underlying asset, or keeping it constant, while increasing or decreasing implied volatility, or keeping it constant.
Date de publication : 3 déc. 2024Date de mise à jour : 4 déc. 2025Documentation produit