Real-Time Risk Management
for the Digital Asset Economy

Boston-based Metrika empowers regulated financial institutions and government agencies to confidently navigate digital assets. Our enterprise platform delivers real-time risk monitoring and automated compliance solutions across global regulatory frameworks.

900+
Key Risk Indicators
40%
Manual Work Reduction
24/7
Real-Time Monitoring
Tier 1
Bank Clients

Transforming Digital Asset Risk Management

We bridge the gap between traditional finance and digital assets through enterprise-grade risk management technology. With proper oversight and advanced monitoring, institutions can embrace digital asset innovation while maintaining the stability, compliance, and trust regulators demand.

Real-time risk visibility

Continuous monitoring with instant alerts for emerging threats

Automated compliance reporting

Streamlined regulatory reporting with automated data collection

Enterprise-grade security

Bank-level protocols with 99.9% uptime guarantee

Regulatory-ready frameworks

Pre-built compliance frameworks aligned with global regulations

Comprehensive Digital Asset
Risk Coverage

We provide enterprise-grade digital asset oversight, monitoring, and reporting that goes beyond traditional market and credit risk to capture the technological, operational, regulatory, and interoperability factors unique to blockchain-based assets.

The Five Pillars of Digital Asset Risk

1. Financial Risk

Market volatility, liquidity, and price stability

  • Real-time price volatility and market risk assessment
  • Liquidity depth monitoring and manipulation detection
  • Cross-portfolio correlation analysis
  • Counterparty and credit risk evaluation
2. Technology Risk

Protocol infrastructure, smart contracts, and cryptographic foundations

  • Smart contract vulnerability assessments and code auditing
  • Protocol health monitoring and consensus mechanism stability
  • Cryptographic risk evaluation and oracle dependency analysis
  • Blockchain network performance and upgrade risk assessment
  • Development team activity and technical roadmap tracking
3. Operational Risk

Governance, custody, and protocol operations

  • Decentralized governance structure and token holder concentration analysis
  • Protocol decision-making processes and voting mechanism transparency
  • Custody arrangements and key management practices
  • Mint controls and token issuance monitoring
  • Dependency risk across protocols and infrastructure providers
  • Single-point-of-failure identification
4. Regulatory Risk

Compliance frameworks and evolving legislation

  • Compliance with digital asset regulations (GENIUS Act, Market Clarity Act, etc.)
  • Jurisdictional requirement monitoring (NYDFS, OCC guidance, etc.)
  • Licensing and registration status tracking
  • Cross-border regulatory coordination assessment
  • Regulatory classification and legal status clarity
5. Interoperability Risk

Cross-protocol interactions and composability challenges

  • Interprotocol transfer risk and bridge security assessment
  • Smart contract composability and dependency mapping
  • Cross-chain transaction monitoring
  • Protocol integration vulnerability analysis
  • Network interoperability and standards compliance