Håvard Opland

Senior Portfolio Manager at ODIN Forvaltning AS

Håvard Opland

Håvard Opland

Senior Portfolio Manager at ODIN Forvaltning AS

Biography

Mr. Håvard Opland is Senior Portfolio Manager at ODIN Forvaltning AS. He joined the firm in 2006 and has experience as a Financial Controller and Analyst. He has in-depth knowledge of the international equity markets, focusing in recent years on Europe.Mr. Opland holds a degree in Economics and Business administration from the University of Agder. He is also an authorized financial analyst (AFA), and earned his MBA in Finance from the Norwegian School of Economics.

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Partner at Valutacorp AS

Relationship likelihood: Strong

Chief Investment Officer at ODIN Forvaltning AS

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Senior Portfolio Manager at ODIN Forvaltning AS

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Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Senior Portfolio Manager at ODIN Forvaltning AS

Relationship likelihood: Strong

Chief Investment Officer at Skagen AS (Investment Management)

Relationship likelihood: Strong

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Håvard Opland
Senior Portfolio Manager at ODIN Forvaltning AS
Career History
Senior Portfolio Manager
2006 - Current

ODIN is an active, long-term, value-oriented manager which conducts comprehensive company analysis to select only the best companies for their portfolios. As part of their approach, their fund managers and analysts challenge each other in a constructive way in order to reach common objectives.The firm invests in companies with capable management teams, operating excellence and strong competitive positions when the price offered by the market is attractive. The companies also should demonstrate the ability to achieve profitable growth over time while maintaining a healthy balance sheet. ODIN believes that good risk assessment is necessary in order to achieve good returns and as long as the companies in which they invest create value over time, perceive fluctuations as opportunities to increase returns through favorable buying and selling. They construct concentrated portfolios because limiting the number of investments in a portfolio enables fund managers to compile in-depth knowledge of each investment. Limiting the number of holdings in the portfolio disciplines their fund managers to only choose the best investment opportunities and results in fund managers making thorough assessments of both return potentials and risk factors when making new investments. In order to identify the best investment opportunities ODIN analyzes all potential investment candidates by analyzing performance, position and price. They always consider how successful a company has been at creating long term value, if the parameters determining the companies´ competitiveness are sustainable and long-term and independently assess the company’s fair value compared to the market price.

Other Affiliations

Håvard Opland is affiliated with ODIN Forvaltning AS

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