How does crypto com maintain risk neutrality?
As a professional practitioner in the field of cryptocurrency and finance, I'm curious to understand how Crypto.com maintains risk neutrality in its operations. Given the volatile nature of the cryptocurrency market, risk management is a crucial aspect. I'm wondering if Crypto.com employs strict policies and procedures to ensure its portfolio remains balanced and risk-averse. Does it diversify its investments across different cryptocurrencies? Are there any hedging strategies it utilizes to mitigate potential losses? Additionally, I'm interested in knowing if Crypto.com conducts regular risk assessments and audits to ensure its risk neutrality is upheld. Clarifying these aspects would help me understand how Crypto.com approaches risk management in its operations.