We train financial professionals giving them "tools, skills, inspiration and
network" to meet the challenges of the modern financial world.
We assist financial institutions in improving their risk management and financial performance.
We see risk management as a proactive value-generating tool and not as a cost-factor.
We want to help in the creation of a stable financial sector.
We strive to go beyond the pure regulatory requirements and focus on maximizing the value added from risk
management - both to the individual institution and to society in general.
Our concepts are based upon a series of improvements made by Soren Braes to the Value-at-Risk and to the risk
adjusted performance measures used throughout the financial sector. These improvements incorporate effects from
behavioral science and hitherto uncaptured market dynamics.