Falcon’s risk management and reserve strategy is basically the company’s “sleep-well-at-night” system. On the risk side, it’s about spotting trouble early credit exposure, market swings, liquidity squeezes and putting sensible limits in place before a bad day turns into a bad quarter. The reserve strategy is the cushion: setting aside capital that’s sized to real-world stress, not just optimistic forecasts. Done right, reserves aren’t idle money; they’re confidence builders. They protect operations, keep partners calm, and let Falcon stay bold when others have to retreat.
@Falcon Finance #FalconFinance $FF