Risk Management
BitFi prioritizes the security and stability of user assets. Our risk management framework focuses on:
Minimizing Smart Contract Risk: Through rigorous audits and security best practices.
Ensuring Operational Resilience: Diversifying across multiple exchanges and custodians.
Maintaining Liquidity: Employing dynamic liquidity management strategies.
Protecting Against Counterparty Risk: Implementing stringent due diligence and collateralization procedures.
Multi-Party Management: Utilizing Ceffu's MPC technology and trusted parties for asset management.
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