Moix, Pierre-Yves (Portfolio Manager – GAM)

Ottobre 28, 2016 4:49 pm

Dr Pierre-Yves Moix is a Portfolio Manager in the GAM Systematic Alternative Risk Premia team, primarily responsible for portfolio construction and asset allocation. Before joining GAM, Pierre-Yves Moix was co-CEO of Alternative Beta Partners AG responsible for leading the asset allocation. Prior to that he was chief risk officer at Man Investments and a management member of Man Multi Manager Business. At Man, Pierre-Yves was member of various investment committees and responsible for the risk oversight of the different investment managers. Prior to that he was a management member of RMF Investment Management. He initially joined RMF as a quantitative analyst and was responsible for the set-up and management of the quantitative analysis team, followed by the building and leading RMF’s risk management unit. Pierre-Yves Moix received his degree and PhD in economics from the University of St. Gallen, and holds a Master’s degree in statistics from the University of Neuchâtel. He is a CFA charterholder, a Financial Risk Manager (FRM) and the author of a well-respected book on measuring market risk.