Founder and President of the Supervisory Board
Daniel founded GT back in 2000, and is currently the Director of the IceFund. Prior to working with GT, he was a Director at Worms & Cie from 1995 to 1998, where he was in charge of Permal (a 100% subsidiary) managing assets on behalf of third parties. He also worked at Demachy Worms & Cie as a Director looking after managed funds, fund-of-funds and multi-asset funds. He graduated from Institut d’Etudes Politiques de Paris and holds a Masters in Economics from the University of Paris X Nanterre.
Chairman of the Board
Board Member of Cholet Dupont Holding which is GT Finance majority’s sharehoolder. He was appointed CEO of GT Finance on May 23, 2013. Previously, he held many responsibilities as Director of the Bank Saint Olive, the asset management company St OLIVE & Co. (1995-2000) as a private manager and fund manager. Prior to that he worked at Cheuvreux de Virieu where he served as the Secretary General and a member of the Board of Directors.
Member of the Board and Chief Investment Officer
Arnaud joined GT Finance in December 2011. Before this he was manager of European and international equity at Barclays Wealth Managers France. He started at Barclays Investment Managers in 2000 as a financial analyst for the “buy side” and became responsible for the strategy. Arnaud Cayla holds masters in Banking and International Finance and a master’s degree in Economics from the University of Poitiers.
Patrice manages the bond portion of GT Finance and tracks the Asian market. He manages GT + obligations, actively involved in the allocation Icefund and follows the Asia Pacific Performance Fund. Prior to assuming the position of bond manager, Patrice held an analyst position in hedge funds on Long Short, Emerging, Macro and Fixed Income strategies. He joined GT in April 2006 from Natixis Asset Square, multi-management subsidiary of Natixis Asset Management. He graduated from ESSEC which specializes in financial master techniques.
Rémi de LABOULAYE, CFA
Remi joined GT Finance in 2007 as an analyst in alternative multi management, specialized in long short equity strategies and global macro. Since 2011 he manages the fund Rhin Rhône and the dynamics pocket Bonds GT Plus. Remi is the holder of the Master “222 Asset Management” and a Master of Science in Management from the University Paris IX Dauphine.
Responsible for Middle Office & Operations