The whole is greater than the sum of its parts.

– Aristotle

We believe that greatness is always achieved by joint efforts. We are a team of global risk, investment and technology experts, and collaborate with trusted partners around the globe. This is the basis of our exceptional services.


Abhinav Mishra, MSRM

Co-Founder & CEO

Abhinav is a Financial Risk Management professional with core expertise in Quantitative Finance, Cross Asset Valuation, Portfolio and Risk Management and Financial Technology. In these areas he has successfully supported global tier-1 investment banks and hedge funds.

He holds a Masters in Risk Management from New York University Stern School of Business and a Bachelors of Engineering in Information Technology. Furthermore, Abhinav is a Certified Capital Markets and Investment Banking Operations professional.

Christoph Brodowicz, CFA

Co-Founder & CFO

Christoph’s core expertise lies in the areas of Risk Management, Regulatory Compliance, Investment Advisory, Valuation & Modelling, and Actuarial Management. In these areas he has successfully supported global and local banks, insurers, and asset managers.

Christoph is a CFA Charterholder, and earned his Master of Business Administration with major in Investment Banking & Wealth Management in Dubai and Singapore. Furthermore, he holds a Masters in Financial- and Actuarial Mathematics.


Fu Hua Hsieh

Asset Management and Risk | Singapore

Fu Hua has 40+ years of experience as Senior Executive in Financial Markets.
He is currently a board director of the GIC (Government of Singapore Investment Corporation) and the Chairman of the Board of Trustees of the National University of Singapore.
Mr. Hsieh has had extensive experience in the financial services sector, ranging from stockbroking, investment banking and fund management

Prior to this, He held senior executive roles including CEO of Singapore Exchange, President of Temasek Holdings, Chairman of United Overseas Bank and Group Managing Director at BNP Equities Asia.

Mr. Hsieh is an alumnus of NUS Business School

Mahadevan Radhakanthan

Credit Risk Management | UAE

Mahadevan has 30+ years of experience as Senior Executive in Credit Risk roles.
He is currently Chief Credit Officer at Rakbank UAE.
Mahadevan has a proven track record in managing teams responsible for underwriting and managing Credit Risk including portfolio analytics across various segments including Banks and FIs, Large Corporates, Emerging Corporates, Business Banking, Multi Family business, Commercial Real Estate and Consumer segments.
Prior to this, he held senior management roles at ADCB, Emirates NBD, ICICI bank, SBI bank.

He has earned his Master of Science in Risk Management at New York University Stern School of Business.

Marcin Kacperczyk, Ph.D.

Asset Valuation and Risk | London

Marcin is professor of Finance at Imperial College London.
He is the Vice-President of the European Finance Association, Research Associate at the Center for Economic Policy and holds Marie Curie European Commission Research Grant.
Prior to this, he was a Hedge Fund Manager.

Marcin has completed his PhD in Finance from University of Michigan and holds a Master in Banking & Finance from Warsaw School of Economics.

Guan Seng Khoo, Ph.D.

Enterprise Risk Management | Singapore

Guan Seng is a risk management specialist with over 28 years experience in the design and implementation of enterprise wide risk management models, systems and processes. He gained deep practical insights from a career spanning across financial institutions in the US, Canada, UK and Singapore, including Man Group, American Bourses Corporation, ATOS Origin, RHB Capital, Singapore Exchange, Standard Chartered Bank, Temasek Holdings and Alberta Investment Management Corporation.

Guan Seng holds a PhD in Physics (Material Science) from the National University of Singapore.

Prabhash Mishra, CAIIB

Financial Regulations and Audit | India

Prabhash has 30 years of strong experience in Treasury and Cash Management, Financial regulations, supervision and statutory audits. He is a certified associate of Indian Institute of Bankers (CAIIB).
Prior to Value3, he was Head of Cash Management at Reserve Bank of India.

Prabhash holds a Master of Science from India

Sachin Bojewar, Ph.D.

Software and Information Security | India

Sachin holds strong academic and professional experience in the field of Information Technology. He is currently Head of Information Technology Department at Vidyalankar Institute of Technology affiliated with University of Mumbai. He is also a member of ISTE, IEEE, CSTA and CSI.

He holds a Ph.D. in Software Engineering and a Masters of Technology in Computer Engineering.