will work in the optimistic scenario.
I would like to ask, if team has any plans or additional mechanics in case BR is not recovering for the longer period of time?
Situation where BR stays below 20% and the demand for $SURF is gradually dropping, is still highly possible. As we all know from traditional markets, when the price of bond drops it is definitely not a great position to be.
I would like to know teams plan for less optimistic scenario.
I'd like to know plans as well
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