A portfolio is not a collection of isolated positions.
Yet much of crypto credit infrastructure still treats it that way.
Institutional trading firms manage exposure across exchanges, venues, and strategies simultaneously.
Evaluating each position independently can overstate the risk that actually matters: the portfolio as a whole.
That's why portfolio-based margining matters.
Spark Prime uses
@ArkisXYZ technology to evaluate exposure across DeFi and CeFi venues, allowing financing decisions to reflect net portfolio risk rather than treating each position in isolation.
Read more about Spark Prime👇