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Meet the team

It's our experience that sets us apart. 

The Atlantic House team is made up of fund managers, risk experts, analysts, and distribution specialists with industry experience at some of the biggest global asset managers, banks and trading floors. 

Tom is the Chief Executive & Chief Investment Officer of the Atlantic House Group. As well as running the business on a day-to-day basis, Tom oversees the firm’s investment mandates and is a lead manager of the Atlantic House Defined Returns Fund. Prior to founding Atlantic House in 2008 with two partners, Tom had a long career at Citigroup, culminating as Head of European Securitised Equity Derivatives and Secondary market trading.

Tom May

CEO & CIO

Mark joined in 2021 from Merian Global Investors where he managed a successful systematic derivatives investment fund. Previously, Mark had a decade long career as a trader on the inflation desks at Barclays and RBS, latterly as Managing Director responsible globally for inflation options and exotics. Mark developed the inflation desk at Rand Merchant Bank in South Africa. Mark has an MSc in Statistics, the FRM designation from the Global Association of Risk Professionals and is a Fellow of the UK Institute of Actuaries.

Mark Greenwood

Deputy CIO & Head of Investment Risk 

Jim is a manager of the Atlantic House Defined Returns Fund and Atlantic House Global Defined Returns Fund. Responsible for the daily running of these two funds, including trading. Jim is a Fellow of the Association of Chartered Certified Accountants and joined the Group in February 2016, becoming co-manager of the Defined Returns Fund in 2018.

Jim May

Fund Manager

Russ is a manager of the Atlantic House Defined Returns Fund and Atlantic House Global Defined Returns Fund. Russ has been working in financial services since 1997 and is an expert in complex financial products and mathematical modelling. He has personally structured and executed over £20 billion of deals, and has a deep understanding of both financial and mathematical issues

Russ Bubley

Fund Manager

Tom is lead manager of the Atlantic House Uncorrelated Strategies Fund and also manages the firm's multi asset mandates. Tom joined the firm in 2016. Alongside his portfolio management responsibilities he leads the product development with asset managers and institutions; building bespoke derivative-based solutions for investors. Before joining Atlantic House, Tom worked for Brewin Dolphin.

Tom Boyle

Fund Manager

Jack is a lead manager of the Atlantic House Balanced Return Fund and Atlantic House Dynamic Duration Fund. Jack initially joined the group in 2017 on a year-long work placement, and after completing his Economics degree from the University of Bath, returned in 2019. Jack earned his CFA Charter in April 2023. Jack has extensive knowledge regarding derivative-based multi-asset solutions and applies this expertise to the two funds he manages.

Jack Roberts

Fund Manager

Owin joined Atlantic House in 2022 as a Fund Management Analyst after completing his BSc in Economics and Management. Owin works as an analyst on the Atlantic House Balanced Return Fund and Atlantic House Dynamic Duration Fund, as well as other mandates run by the firm. Owin is currently a CFA level 1 candidate. 

Owin Bennett

Analyst

Ben joined Atlantic House in 2023 after finishing his masters in Physics at Imperial College London. He studied abroad in Switzerland and worked at the Swiss Plasma Centre before bringing his analytical skillset to the investment team. Ben handles the trading operations on the Uncorrelated Strategies Fund as well as some of the firms multi asset mandates.

Ben Forster

Analyst

Tom supports the running of the Atlantic House Defined Returns and Global Defined Returns Fund, as well as supporting Distribution with analysis for those funds. Tom looks after the day-to-day management for one of the firm's equity derivative mandates. He joined the group in 2023, as part of his year in industry whilst undertaking a BSc degree in Economics at the University of Bath.

Thomas Crook

Analyst

Fahad is an experienced investment management professional with over 20 years of experience managing equity and multi-asset portfolios, currently serving as Chief Investment Officer at Albemarle Street Partners where he oversees £800 million in client assets. He is also a manager of the Atlantic House Balanced Return Fund. He previously held senior fund manager roles at firms including Legal & General Investment Management and Newscape Capital. 

Fahad Hassan

CIO of Albemarle Street Partners

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