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4 posts tagged with "Risk Management"

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2min read
May 10, 2024
Understanding Timescales in Panoptic
Learn how perpetual options operate on Panoptic without traditional expiry dates, utilizing timescales to estimate duration and premia accumulation based on the option's width and price range.
3min read
May 1, 2024
Closing a Position
This guide provides insights on efficiently closing positions in Panoptic, covering when to close, how to do it, and troubleshooting issues to secure gains or limit losses in DeFi options trading.
5min read
March 18, 2024
Position Management
Learn how to effectively manage open positions on Panoptic, including understanding position metrics, making strategic decisions for closing positions, avoiding liquidations, and capturing profits while minimizing risks in options trading.
3min read
March 11, 2024
Understanding Delta Risk
Explore the critical role of delta in options trading for risk management and master delta-neutral strategies with Panoptic to navigate market volatility effectively.