Portfolio margin mode: cross-margin trading (Risk Unit Merge)
MR6 takes half of the maximum loss under 2 scenarios. For example, the MR6 of the BTC-USD risk unit is half of the maximum loss when BTC-USD moves + 30% or – 30%, whichever is larger. If the risk unit only contains perpetual and expiry futures, MR6 equals MR1. Underlying asset Maximum price move BTC, ETH +/– 24% SOL, DOGE, PEPE, XRP, BNB, SHIB, LTC, ORDI, WLD, BCH, ADA +/– 36% Others +/– 50% Note: We have changed the assets in tier 2.
Veröffentlicht am 3. Dez. 2024Aktualisiert am 4. Dez. 2025Produktdokumentation