Jarl Ulvin took up the post of Senior portfolio manager in ODIN in spring 2000, when he took over the management of the equity fund ODIN Norge. In March 2005, he also became investment director in ODIN.
Jarl has extensive experience in share analysis and share investments. In addition to his qualifications in economics and an MBA from the USA, Jarl is an authorised financial analyst. He has previously worked as both an analyst and portfolio manager in a number of insurance companies and stockbroker firms.
All of ODIN’s portfolio managers act as analysts, both geographically and at sector level. Jarl is a specialist in consumer shares and Norwegian shares. He has overall responsibility for investments in ODIN.
Jarl Ulvin and ODIN Norge have been named the best in Norway with regard to the management of Norwegian equity funds several times.
«We have followed the same value-based investment philosophy in ODIN since our inception in 1990. Combined with our extensive knowledge within the trade, this has given our unit holders good returns for a number of years.»