Jan Erik Warneryd

Jan Erik Warneryd

Chief Investment Officer bij Optimum Quantvest Corp.

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Mr. Jan E.
Warneryd, CFA, is a Chief Investment Officer at Optimum Quantvest Corp.
He is responsible for our S&P 500 Sector Selection Strategy.
Prior to joining the team, Mr. Warneryd was a Global Macro Portfolio Manager at Tudor Investment Corp.
in Greenwich, CT.
Prior to Tudor, he was the Head of Global Macro Proprietary trading within the Fixed Income Division at Morgan Stanley in New York.
From 1996 until early 2003, he worked for SEB, first as Proprietary Trader in the New York office and subsequently as Portfolio Manager at SEB Asset Management in Stamford, CT, which is the predecessor of Optimum Quantvest Corporation.
Previously, Mr. Warneryd has held positions with Kidder Peabody, Skandia, Stora and SHB.
He holds a B.Sc.
in Business and Economics from the University of Stockholm and has been a CFA (Chartered Financial Analyst) charter holder since 1998.

Actieve functies van Jan Erik Warneryd

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Chief Investment Officer 01-05-2020
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Portfolio Manager-Fixed Income 17-05-2019
Portfolio Manager-Equities 31-12-2007
Trading-Fixed Income -
Corporate Officer/Principal 01-01-1999
Corporate Officer/Principal 31-12-1995
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Opleiding van Jan Erik Warneryd

University of Stockholm Undergraduate Degree

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