People

Jack Norberg
Chairman and Chief Financial Officer
jhn@standardinvestment.com

Mr. Norberg has been active in the securities business since 1983, and is an authority on the appraisal, investment and management of closely-held, thinly-traded securities. Mr. Norberg is a licensed financial and operations principal with the FINRA, a licensed uniform investment advisor as well as an appointed industry arbitrator. He holds a degree from Washington & Lee University and a graduate designation from the University of San Diego.

Mr. Norberg has served as an expert witness in both state and federal courts and has authored over 100 company reports and investment articles on non-reporting, thinly-traded, small cap companies. He has been a speaker on researching and investing at numerous industry seminars and contributed to many national and local publications including Forbes, Barrons, Newsweek, The Wall Street Journal, Walker's Manual, The Daily Deal, Los Angeles Times, Orange County Register and Equities Trader. His professional credentials include: Series 7 license; Series 65; Series 24, Series 27 designations; CFA candidate and Member, Association for Investment Management and Research.

Mr. Norberg holds positions with several for-profit boards including the Columbian Rope Company. He is also a managing partner of Buttonwoodtree Value Partners. Additionally, in the non-profit sector Norberg serves on the boards of University of California, Irvine, Chapman University Dodge School of Film, Discovery Science Center and the Washington & Lee University Alumni Fraternity Board.


Return to People


Standard Investment Chartered, Inc. may only transact business in a particular state after licensure or satisfying qualifications requirements of that state, or only if they are excluded or exempted from the state's broker-dealer, investment adviser, BD agent or IA rep requirements as the case may be.

Follow up, individualized responses to consumers in a particular state by Standard Investment Chartered, Inc. that involve either the effecting or attempting to effect transactions in securities or the rendering of personalized investment advice for compensation, as the case may be, shall not be made without first complying with the state's broker-dealer, investment adviser, BD agent or IA rep requirements, or pursuant to an applicable state exemption or exclusion.

For information concerning the licensure status or disciplinary history of Standard Investment Chartered, Inc., a consumer should contact his or her state securities law administrator.

Securities products and services are offered by Standard Investment Chartered, Inc., a FINRA member firm.

Content Copyright © 2006 Standard Investment Chartered, Inc.