Hi, like to seek some advice.
In what way can I use Risk Radar to manage portfolio margin requirements?
I got it recently, I have so many questions... still trying to digest the platform.
How do you use it yourself?
Is it easier to use than Sterling or Lightspeed Risk when comes to managing PM margin requirements?
Thank you.
In what way can I use Risk Radar to manage portfolio margin requirements?
I got it recently, I have so many questions... still trying to digest the platform.
How do you use it yourself?
Is it easier to use than Sterling or Lightspeed Risk when comes to managing PM margin requirements?
Thank you.