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So is setting collateral ratio to 300% the best way

to handle things for the upgrade?

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I thought 200% would be enough? Nothing major should change in those 2-3h?

Chester- Автор вопроса

They arent being specific probably to cover any unexpected changes. The instructions mention price volatility. I don't want to close my positions but there doesnt seem to be a guarantee safe % to choose

Yes should be fine. There will be no liquidations in 2 hour upgrade window + there will be a 3 hour window post upgrade when you can put more collateral if required

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