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Does anyone have an explanation as to why the premiums

are moving further away from 0%/neutral?

I understand that it's due to minting, shorting... but in game theory - what's the play here?

Shorts are getting squeezed into untenable repayment (30% premium...) and the short farmers and protocols shortfarming MIR are driving mVIXY, mKO, mSPY and other assets into negative premiums.

I understand what's happening, but I don't understand the WHY i.e. What is the end game on premium extremes. The wallet that keeps buying mAssets still has 35M left to keep buying - so I don't see any informed Mirror user shorting any assets here

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Premium are there because of buying and selling pressure on mAssets. But the team is planning to move more rewards to short farm to reduce the premiums.

Ray-Raspberry Автор вопроса
Mayank Grover (Will never DM first or ask for funds)
Premium are there because of buying and selling pr...

is there a proposal up to move more rewards into shortfarming? what is the solution when MIR tokens supply has been exhausted?

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