description: >-
This is where you monitor and manage all of your currently open perpetual
contracts.
Positions
Asset: The perpetual contract you are holding (e.g., VIX).
Size: The notional size of your position. A positive number indicates a long position; a negative number indicates a short position.
Entry Price: The average price at which you entered the position.
Mark Price: The current fair-value price of the perpetual on the exchange.
Liquidation Price: A critical risk metric. If the mark price moves against you and reaches this level, your position will be automatically closed by the system to prevent further losses.
Margin: The amount of collateral you have allocated to keep this position open.
P&L (Unrealized): Your current floating profit or loss on the position.
TP/SL: Your configured Take-Profit and Stop-Loss levels for this position.