Author Topic: New mechanism to prevent bad debt (black swan)  (Read 3540 times)

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Offline armin

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this is an even worse solution for shorters than the current one

Offline bench

In this topic I want to discuss different ideas to prevent bad debt.

One idea was to handle margin positions depending on the collateral ratio.

Creating three groups for different ratios:
- 1.75>x>1.5: normal call price
- 1.5>x>1.25: reduced call price
- 1.25>x>1.00: sell to highest call order and reduce liquidity

What do you think ?
« Last Edit: October 19, 2018, 02:25:43 pm by bench »
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