instead of doing it when BR<1.1 or 1.2 so we can have 10%-20% margin before usdn is not backed? 🤔
Hi. Because the goal of the recapitalization is to have 1 BR, not 1.1 or 1.2, but thanks for the idea!
I know that's the idea, but I think it would be more secure to increase it. I think a goal of BR =2 is too much, but a 1.1 or 1.2 would be more secure for the protocol
A BR around 1.0 is more than enough. 1.1 or 1 doesn't make any difference, as collateral can work perfectly with BR quite below 1. It is not that you suddenly are unsafe when BR is just below 1.
I know is enough. It is with 0.22 like it is right now and still working 😂. But when BR goes <1 fudders start talking shit. And we can avoid that just increasing BR limits to 1.1 or 1.2.
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