Что такое Контроль проскальзывания?
Контроль проскальзывания Operational methods or automated protocols implemented by crypto asset managers and trading systems to minimize adverse price movement (slippage) between order submission and execution, especially for large or illiquid trades on exchanges or DeFi protocols. Involves setting slippage tolerance, using limit orders, or deploying algorithmic execution to protect portfolio returns.
Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
How is “Контроль проскальзывания” Used in Practice?
Институциональные управляющие крипто-портфелями используют инструменты контроля проскальзывания, чтобы крупные сделки не ухудшали доходность портфеля из-за ценового воздействия.
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Who Needs to Know This Term?
- Financial Analysts
- Bankers
- Traders
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Что такое Контроль проскальзывания?
Operational methods or automated protocols implemented by crypto asset managers and trading systems to minimize adverse price movement (slippage) between order submission and execution, especially for large or illiquid trades on exchanges or DeFi protocols. Involves setting slippage tolerance, using limit orders, or deploying algorithmic execution to protect portfolio returns.
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