I have repositioned LONG on SOL using 250x leverage and SHORT on RAVE using 100x leverage.

- SOL @ 82.3963 (at risk)

- RAVE @ 1.61688 (at risk)

Additionally, I remain positioned LONG across two assets using 50x leverage at this time.

- PI @ 0.20080 (at risk)

- PUMP @ 0.002163 (at risk)

- SHIB @ 0.000006010 (at risk)

My risk is proper with zero risk of liquidation. I am using ~1% risk in margin all trades combined. ($62 in margin against a $7,100 sized account)

$SOL

SOL
SOL
85.19
-1.84%

$RAVE

RAVEBSC
RAVEUSDT
1.04989
-86.35%

$SHIB

SHIB
SHIB
0.0₅598
-1.64%