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Torren Management, LLC

Torren Management, LLC. CRD 329263

Torren Management, LLC logo

CRD: 329263

Torren Management, LLC

$373.5M Total AUM
$373.5M Disc. AUM
-- 3Y CAGR
5 Employees
8 ADV. Clients
2 yrs Firm Age

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Firm Details

Custodian
Charles Schwab & Company · Fidelity/NFS
Clients
Retail and Institutional
Platforms
Available
Established Date
12-01-2023
Office Locations
2

Office Locations

401 B Street Suite 1900 SAN Diego CA
-- Littleton CO

About Torren Management, LLC

Torren Management is a multi-family office serving ultra high net worth families and related entities. The firm delivers bespoke investment management across multiple asset classes, plus balance-sheet advisory spanning real estate, private investments and business interests, alongside philanthropic, succession and liquidity planning in coordination with clients’ outside advisors. Custody includes Schwab and Fidelity, with a client portal for reporting.

Team overview

39 AVG AGE
$93.4M AVG AUM / ADVISOR
$46.7M AVG AUM / CLIENT
1.8 yrs AVG TENURE
5 Employees
4 Advisory Reps
4 RIA Reps
2yrs Firm Age

Insights

Available
Available
Available
Available
Available
Available
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Asset Classes

Available

Custodian

Available

Investment Themes

Available

Investment Vehicles

Available

Platform

Available

Services

Available

Technology

Available

Owner & Executives

Todd Elliot Hyatt

Todd Elliot Hyatt

Board of Directors, Chief Compliance Officer, Corporate Secretary

CRD
--
Ownership
Less than 5%
Available
Available
Available
DARREN MICHAEL REINIG

DARREN MICHAEL REINIG

Chief Investment Officer

CRD
#5092607
Ownership
Less than 5%
Available
Available
Available

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Contacts

NATHAN ROLAND DUTZMANN

NATHAN ROLAND DUTZMANN

Chief Investment Officer

CRD
#7008043
Available
Available
Available
R

Ryan Lawler

--

CRD
#7130398
Available
Available
Available

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
06-13-2024
08-05-2025
03-26-2026
Category Assets AVG. Account size
Discretionary $373,498,620 $2,394,222
Non-Discretionary $0 --
Total $373,498,620 $2,394,222

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Separately Managed Accounts

Total SMA Asset: Available

Locked Total SMA
Public Funds:
Available
Private Funds:
Available
Municipal Bonds:
Available
Equity - Exchange:
Available
Cash:
Available
U.S. Government/Agency:
Available
Asset class Assets Assets %
Public Funds Available Available
Private Funds Available Available
Municipal Bonds Available Available
Equity - Exchange Available Available
Cash Available Available
U.S. Government/Agency Available Available
Total Available Available

13F Holdings | Q2 2026

Issuer Class CUSIP Ticker % Value
Available Available Available Available Available Available
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