Manuel Sigrist joined Dominicé’s Investment Team in 2012. In addition to co-managing the flagship volatility fund, he is also developing and managing the company’s US equities investment strategy.
Before joining Dominicé, Manuel was a quantitative analyst in the Multi Asset Class Solutions department at GAM in Zurich. In this capacity, he developed systematic strategies in equities, fixed income, currencies and volatility. He began his career with Banco Santander in Geneva as a quantitative analyst of hedge funds. Manuel holds a Masters in Financial Engineering and Risk Management from HEC in Lausanne.