Currently, I have three open operations in OM: two in futures (one with 2x leverage and another with 5x) and one in spot. In total, I have a floating loss of approximately 2,000 USD: 1,350 USD in futures and 750 USD in spot.
For now, the liquidation risk is 0%, so there is no immediate pressure. However, I am evaluating whether to close with losses or continue holding the positions. If I choose to close them, I plan to wait for a rebound before doing so; otherwise, I see no point in closing now.
Is anyone else in a similar situation? How are you handling it? I appreciate any opinions.
( I am looking for opinions from rational people with criteria ) anxious children please abstain $BTC $SUI
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