Profil
Mr. Jan Törnstrand is a Portfolio Manager at Norron AB.
He became Fixed Income Manager at Nordea in 1990, thereafter became a Partner & Asset Manager at United Securities Fondkommission, responsible for their fixed income portfolio.
Between 1996 and 2005, Mr. Törnstrand was an Asset Manager at Svensk Exportkredit - Treasury Group, was CFO at Kaupting Bank between 2005 and 2006.
After that he became responsible for all fixed income management at Catella primarily for Catella Avkastningsfond and Catella Likviditetsfond.
Mr. Törnstrand was also a member of Catella’s Hedge Fund team and became a Partner at Catella Fonder between 2008 and 2010.
Mr. Törnstrand holds a Master degree in Finance from University of Linköping in 1989.
Aktiva positioner av Jan Törnstrand
| Företag | Position | Start |
|---|---|---|
Norron AB
Norron AB Investment ManagersFinance Norron’s investment team uses proven and recognized methods in their strategies as well as in risk-taking. All funds managed by the firm are traded daily and managed with absolute return ambition and full transparency. | Portfolio Manager-Fixed Income | 2011-01-01 |
Tidigare kända positioner av Jan Törnstrand
| Företag | Position | Slut |
|---|---|---|
Celina Fondförvaltning AB
Celina Fondförvaltning AB Investment ManagersFinance Celina specializes in both growth and value investing with a long-term investment horizon. Their geographic focus and expertise is concentrated in the Nordic countries. The firm constructs portfolios based on an analysis of the factors that govern performance, such as economic conditions and interest rates and identify the industries and companies that should benefit from the trends. They continuously evaluate investments against benchmark indexes and individually in order to balance the risks in the portfolio. | Portföljförvaltare-Aktier | 2010-06-30 |
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| Privata företag | 2 |
|---|---|
Celina Fondförvaltning AB
Celina Fondförvaltning AB Investment ManagersFinance Celina specializes in both growth and value investing with a long-term investment horizon. Their geographic focus and expertise is concentrated in the Nordic countries. The firm constructs portfolios based on an analysis of the factors that govern performance, such as economic conditions and interest rates and identify the industries and companies that should benefit from the trends. They continuously evaluate investments against benchmark indexes and individually in order to balance the risks in the portfolio. | Finance |
Norron AB
Norron AB Investment ManagersFinance Norron’s investment team uses proven and recognized methods in their strategies as well as in risk-taking. All funds managed by the firm are traded daily and managed with absolute return ambition and full transparency. | Finance |
















