To remain the world’s number one, it’s not just about achieving a high peak performance but maintaining a consistently strong baseline level. This is achieved through a systematic approach focused on factors we can control.
At Quist & Axelsen, we apply a similar holistic risk management strategy—accounting for your entire asset base and concentrating on what we can control. Our goal is to ensure stability and minimize unnecessary risk by adhering to a disciplined approach that protects your capital from external factors beyond our control. This philosophy was the foundation for my decision to start the company.
– Viktor Axelsen