@nanahriy
Weekly Parameter Update — 3 items I’m tracking
Rates: utilization stayed elevated in [Market A], making the post-kink rate regime more likely this week.
Risk limits: collateral settings for long-tail assets remain the primary source of “unexpected HF drops.”
Liquidation dynamics: higher liquidation incentives (bonus increases) tend to accelerate liquidations during fast moves.
Checklist for users:
Set alerts on health factor and utilization, not only price
Avoid running positions within a narrow HF band; leave a buffer for parameter drift
Keep a “fallback plan” for congestion (repay/add collateral can fail when everyone rushes)
Not investment advice—just parameter hygiene.