Meet our award winning credit investment specialists
Anthony Smouha
CEO, Fund Manager
Anthony Smouha is Chief Executive Officer, a member of the Management Committee and Fund Manager managing GAM funds since joining in 1992.
Prior to joining Atlanticomnium S.A., Mr. Smouha was senior vice president, head of bond trading and sales at Soditic SA/SG Warburg Soditic SA, Geneva. Prior to this, he was at Credit Suisse First Boston in London.
Mr. Smouha was educated at Harrow School and holds an MA Cantab Hons in Economics from the University of Cambridge. He is based in Geneva.
Grégoire Mivelaz
Fund Manager
Gregoire Mivelaz is a Fund Manager managing GAM funds, and a member of the Management Committee.
Prior to joining Atlanticomnium S.A. in 2009, Mr. Mivelaz held positions both as a buy-side and as a sell-side credit analyst.
Mr. Mivelaz graduated from the University of St Gallen and holds a BA in Finance and Capital Markets, an MA in Economics and is a CAIA charter holder.
He is a CAIA charterholder, CFA® charterholder and holds a CFA Level IV Certificate in ESG Investing.
Patrick Smouha
Fund Manager
Patrick Smouha, who joined Atlanticomnium S.A. in 2012, is co-managing GAM’s credit opportunities strategies alongside Anthony Smouha and Gregoire Mivelaz
Prior to this Patrick was assistant fund manager, responsible for dealing and execution. He has been a member of Atlanti Investment Committee since 2016. From 2012 to 2016, he performed a wide variety of tasks including bond research and assisting with the management and administration of the funds.
Patrick holds a BSc in management from the University of Lausanne (HEC) and an MSc in finance from the University of Geneva (HEC). He holds a CFA Level IV Certificate in ESG Investing.
Romain Miginiac
FUND MANAGER
Romain Miginiac is co-fund manager of GAM sustainable Climate Bond fund and Head of Research and at Atlanticomnium S.A
Priori to joining Atlanticomnium SA in September 2018, Romain was with Aberdeen Standard Investments where he spent the last two years as a credit analyst covering European Financial institutions. Prior to that, he held positions with KPMG and UBS in financial services audit and wealth management respectively.
Romain holds a bachelor’s degree in economics from the University of Geneva and a master’s degree in finance from ESADE Business school. Romain is a CFA® charterholder and holds a CFA Level IV Certificate in ESG Investing. He is based in Geneva.