currently all asset's SQP is 1100, which means force margin call wil buy debt at price 1.1*feedprice
I saw in some markets like:BTC/BTS USD/BTS, people want to buy back at price x1.1, but the asset holders still don't want to sell.
so I will decrease the SQP for USD&BTC, 1100 -> 1090 -> 1080 -> 1070 -> 1060 -> 1050 -> 1040 -> 1030
to keep the value of MPA, I will not set it less than 1030.
in the other hand, when asset hoders want to sell asset less than feed price, but no one buy back, I will increase the SQP, but not more than 1100.