gue recently notice FBS announce beberapa policy update—spread adjustment, liquidity provider change, leverage restriction di certain region. ini bikin gue wonder gimana caranya evaluate impact real dari perubahan ini terhadap trader experience, especially dari cost dan execution angle.
kalau gue purely rely pada official announcement, it’s hard interpret apa sih material impact. tapi kalau gue have access real-time market analysis GlobeGain dan tap into komunitas experience, gue bisa piece together picture lebih jelas—gimana perubahan ini actually affect trader bottom line.
gue specifically interested understand gimana recent policy change FBS reshape the trade-off: adalah spread lebih tight tapi liquidity worse? apakah leverage restriction actually harm retail trader atau protect dari excessive risk? bagaimana community read these change?