Department of Finance

Søren Ulrik
Teaching associate professor

Room: SOL/A4.25
Soren Plesner has many years of experience in teaching and consulting on financial subjects such as investment management, securities analysis, risk management, asset allocation, and asset-liability management. He has held courses at very large number of primarily financial institutions in a number of countries, including the US, Canada, Mexico, Germany, Scandinavia and a number of Central and Eastern European and Asian countries. He has also spoken on numerous conferences on topics such as financial risk management, financial regulation, and financial market developments.
Soren Plesner has also undertaken numerous consulting projects at banks, pension funds and other institutions. He also advises private clients and investments funds on asset allocation and and risk management.
Primary research areas
  1. Financial Markets and Instruments
  2. Risk Management
  3. Fixed Income and Dericatives
  4. Asset Allocation and Portfolio Management
  5. Valuation
Link to this homepage
Bond Theory (cand.merc.fir)
Financial Markets and Instruments (cand.merc.fsm)
Advanced Fixed Income and Derivatives (HD)
Master Theses at the FIR, AEF and FSM lines
AEF and FIN Business projects
FIR June Projects
HA (Bachelor) Projects
Other teaching activities

Private courses for financial institutions worldwide

Publications sorted by:
Søren Plesner / CBDC – fremtidens betalingsmiddel?
In: Finans/Invest, No. 5, 10.2021, p. 14-20
Journal article > peer review
Søren Plesner / På vej mod en rentebenchmarksreform : "Last orders" for LIBOR.
In: Finans/Invest, No. 4, 8.2019, p. 14-22
Journal article > peer review
Søren Plesner / Bitcoin : Kryptisk valuta, spekulativt aktiv eller disruptiv teknologi?.
In: Finans/Invest, No. 1, 2.2018, p. 5-13
Journal article > peer review
Outside activities

Consultant for DELFF LFP Corporate Bond Fund

Consultant for Deichmann Media Aps