OUR INVESTMENT TEAM
Investment Team
Rémi Adam
ANALYST / PORTFOLIO MANAGER
Rémi Adam joined Comgest in 2019 and is a Paris-based Analyst and Portfolio Manager specialising in US equities.
Prior to Comgest, Rémi worked for three years as an Equity Analyst at ODDO Securities in Paris and Frankfurt, covering media and telecom stocks. He began his career in 2014 as a Global Equity Analyst at Amundi in London.
He holds a Master’s degree in Risk & Finance from EDHEC Business School (France) and is a CFA® charterholder.
Abla Bellakhdar
Analyst / Portfolio Manager
Abla Bellakhdar joined Comgest in 2014 and is a Paris-based Analyst and Portfolio Manager specialising in Global Emerging Markets equities.
Prior to joining Comgest, Abla completed internships at Comgest, Morocco’s Caisse de Dépôt et de Gestion (CDG) and Euro Latina Finance in Paris, which specialises in cross-border mergers and acquisitions in Latin America.
Abla holds a Master’s degree in Corporate Finance from the NEOMA Business School (France) and a Bachelor’s degree from the Monterrey Institute of Technology (Mexico).
William Bohn
Analyst / Portfolio Manager
William Bohn joined Comgest in 2019 and is a Paris-based Analyst and Portfolio Manager specialising in European equities.
Prior to joining Comgest, William completed internships at Comgest, Alphavalue (European independent equity research) and The Rock Creek Group (global asset management firm) during a year abroad in Washington, D.C.William holds a Master’s degree in Law, Economics, and Finance from Sciences Po Strasbourg (France), graduating top of his class.
He also holds a Master’s degree in Corporate Finance from ESSEC Business School (France) and is a CFA® charterholder.
Quentin Borie
Analyst
Quentin Borie joined Comgest in 2025 and is a Paris-based Analyst specialising in European equities.
Prior to Comgest, Quentin worked as a Research Equity Analyst at ODDO BHF, focusing on European capital goods companies. He previously completed internships as a sell-side Equity Analyst at ODDO BHF, covering the technology sector, and as a buy-side Equity Analyst for Schelcher Prince Gestion in Paris.
Quentin holds a Master’s and a Bachelor’s degree in Business from Emlyon Business School (France), including study abroad at The University of Texas at Dallas (US). Quentin is a CFA® charterholder.
Denis Callioni
Analyst / Portfolio Manager
Denis Callioni joined Comgest in 2015 and is a Paris-based Analyst and Portfolio Manager specialising in European equities.
Prior to Comgest, Denis worked as an Equity Analyst at Kempen & Co Merchant Bank in Amsterdam from 2010.
Denis holds a Master’s degree in Corporate Finance and Banking from the Duisenberg School of Finance and a Master’s degree in Business and Economics from the University of Amsterdam, both in the Netherlands. She is a CFA® charterholder.
Jimmy Chen
Analyst / Portfolio Advisor
Jimmy Chen joined Comgest in 2017 and is a Hong Kong-based Analyst and Portfolio Advisor specialising in Greater China equities.
Prior to joining Comgest, Jimmy worked for Sanford C. Bernstein as a Senior Research Associate specialised in Asia-Pacific regional telecoms. He previously spent five years as a consultant at Bain & Company, working with clients across a range of industries (from consumer to industrial) and was based in Australia (two years) and China (three years).
Jimmy holds a Bachelor of Commerce and Law (Honours) from the University of New South Wales in Sydney (Australia). He is a CFA® charterholder.
Bassel Choughari
ANALYST / PORTFOLIO MANAGER
Bassel Choughari joined Comgest in 2025 and is a Paris-based Analyst and Portfolio Manager specialising in European equities.
Prior to joining Comgest, Bassel was an Equity Portfolio Manager at Montpensier in Paris, focusing on European and international equities. He previously worked as a European Equity Analyst at SYZ Asset Management in London. He began his career on the sell-side at Berenberg and RBS in London.
Bassel graduated from the Magistère Banque Finance programme and holds a Master’s degree in Financial and Banking Techniques (DESS Techniques Financières et Bancaires) from Paris-Panthéon-Assas University (France).
Louis Citroën
ANALYST / PORTFOLIO MANAGER
Louis Citroën joined Comgest in 2019 and is a Paris-based Analyst and Portfolio Manager specialising in US equities.
Prior to joining Comgest, Louis spent five years at Arete Research in London as an Equity Analyst covering telecoms and media stocks.. From 2011, he worked as a Small Cap Equity Analyst at Financière de l’Echiquier. He began his career in 2009 as a management consultant at Oliver Wyman in Paris.
Louis holds a Master’s degree in Management from ESCP Business School (France, UK, Germany) and is a CFA® charterholder.
Petra Daroczi
ESG Analyst / Portfolio Manager
Petra Daroczi joined Comgest in 2021 and is a Paris-based ESG Analyst and Portfolio Manager responsible for ESG coverage of European equites.
Prior to Comgest, Petra joined Aberdeen Standard Investments in 2019 as an ESG Investment Analyst, responsible for integrating ESG assessment in fixed income research and leading the engagements in the APAC region. She previously worked for Thomson Reuters in their Singapore office as an Account Director and ESG Ambassador, and before that held diverse roles such as Field Sales Associate, Consultant and ESG & Asset Management Specialist in London.
Petra holds a Master’s degree in European Business from the ESCP Business School (France) and a Bachelor’s degree in Business Studies from Cass Business School (UK). She is a CFA® charterholder and holds various ESG-related certifications including Climate Change: Financial risks and opportunities (Imperial College Business School, UK), Sustainability and Climate Risk (Global Association of Risk Professionals) and Basics of Organizational GHG Accounting (Greenhouse Gas Management Institute).
Christian de Roualle
ANALYST / PORTFOLIO MANAGER
Christian de Roualle joined Comgest in 2025 and is a Paris-based Analyst and Portfolio Manager specialising in US equities.
Prior to joining Comgest, Christian worked as a Senior Equity Analyst and Portfolio Manager at Tikehau Capital in Paris. He was previously a Senior Equity Analyst at Lofoten Asset Management in Paris, covering US and European companies. Prior to that, he spent nearly a decade in London as an Equity Analyst at Redburn Partners. He began his career at Moët-Hennessy.
Christian holds a Master’s degree in Management from EDHEC Business School (France) and a Bachelor’s degree in Economics from the University of Paris II Panthéon-Assas (France).